Risk Management Manager (Commodity & LNG)

GOOD JOB CREATIONS (SINGAPORE) PTE. LTD.

Singapore

On-site

SGD 100,000 - 140,000

Full time

7 days ago
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Job summary

GOOD JOB CREATIONS (SINGAPORE) PTE. LTD. is seeking an experienced Risk Manager to develop and enhance the firm's enterprise risk management framework, covering policies, standards, and control tools in Singapore.

You will identify, assess, monitor, and report risks across trading, finance, operations, and compliance functions. The role requires 5 to 10 years in risk management, strong knowledge of market, credit, and operational risk, and proficiency in Mandarin for coordinating with

Qualifications

  • Bachelor's degree in Finance, Risk Management, Economics, Business, or related discipline.
  • 5 to 10 years of experience in risk management, trading risk, commodities trading, or LNG markets.
  • Strong knowledge of market risk, credit risk, operational risk, and derivative products.
  • Experience performing risk assessments, due diligence reviews, and transaction risk analysis.
  • Proficiency in risk management systems and advanced Excel-based analysis.
  • Experience in commodity trading, energy trading, or LNG markets is an added advantage.
  • Experience working within Chinese corporate environments is an added advantage.
  • Proficiency in Mandarin language for liaising with Mandarin-speaking headquarters and stakeholders.

Responsibilities

  • Develop and continually enhance the enterprise risk management framework, including policies, procedures, standards, and control tools.
  • Identify, assess, monitor, and report on credit, market, operational, compliance, and funding risks across business activities.
  • Prepare profit and loss reports, risk assessment reports, and risk alerts to support informed decision-making.
  • Conduct risk control reviews for business projects and perform due diligence, counterparty assessments, customer evaluations, and transaction risk ratings.
  • Monitor trading and business activities through routine risk inspections, data analysis, and investigation of abnormal trends.
  • Lead the management of risk incidents, implement mitigation measures, oversee corrective actions, and drive continuous improvement through post-incident reviews.

Skills

Risk management
Trading risk
Derivative products
Excel-based analysis
Mandarin communication
Data analysis
Regulatory knowledge

Education

Bachelor's degree in Finance, Risk Management, Economics, Business, or related discipline

Tools

Risk management systems
Excel

Job description

Responsibilities
  • Develop and continuously enhance the company's enterprise risk management framework, including policies, procedures, standards, and control tools.
  • Identify, assess, monitor, and report on credit, market, operational, compliance, and funding risks across business activities.
  • Prepare profit and loss reports, risk assessment reports, and risk alerts to support informed decision-making.
  • Conduct risk control reviews for business projects and perform due diligence, counterparty assessments, customer evaluations, and transaction risk ratings.
  • Monitor trading and business activities through routine risk inspections, data analysis, and investigation of abnormal trends.
  • Lead the management of risk incidents, implement mitigation measures, oversee corrective actions, and drive continuous improvement through post-incident reviews.
  • Partner with trading, finance, legal, and operations teams to embed risk controls into business processes.
  • Report on overall risk exposure, control effectiveness, and risk mitigation recommendations to senior management.
  • Monitor regulatory developments and industry trends and update risk management strategies accordingly.
  • Review physical and derivatives transaction records and validate valuation accuracy within risk management systems.
  • Support derivative-related funding and settlement processes in collaboration with the finance team.
Requirements
  • Bachelor's degree in Finance, Risk Management, Economics, Business, or a related discipline.
  • 5 to 10 years of experience in risk management, trading risk, commodities trading, or LNG markets.
  • Strong knowledge of market risk, credit risk, operational risk, and derivative products.
  • Experience performing risk assessments, due diligence reviews, and transaction risk analysis.
  • Proficiency in risk management systems and advanced Excel-based analysis.
  • Experience in commodity trading, energy trading, or LNG markets is an added advantage.
  • Experience working within Chinese corporate environments is an added advantage.
  • Proficiency in Mandarin language for liaising with Mandarin-speaking headquarters and stakeholders.
  • Strong written and verbal communication skills and the ability to prepare risk-related reports and recommendations.
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