Risk Manager

BEIJING GAS SINGAPORE PRIVATE LIMITED

Singapore

On-site

SGD 120,000 - 180,000

Full time

8 days ago
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Job summary

BEIJING GAS SINGAPORE PRIVATE LIMITED is seeking an experienced risk manager to build and enhance a comprehensive risk framework across all business processes. You will identify, assess, and monitor market, credit, and other risks, and prepare reports and risk alerts for management.

The role requires 5–10 years in risk management, strong Mandarin communication, and collaboration with multiple departments and HQ in China.

Qualifications

  • Bachelor's degree or above in Finance, Economics, Risk Management, or related field.
  • 5-10 years of experience in risk management, trading risk, or commodity/LNG markets preferred.
  • Strong understanding of market risk, credit risk, and derivatives.
  • Proficiency in risk systems and Excel-based analysis.
  • Experience in Chinese corporations is an advantage.
  • Strong verbal and written communication skills in Mandarin.

Responsibilities

  • Establish and continuously improve the company's risk management framework with policies and controls.
  • Identify, assess, and monitor risk types; prepare risk reports and alerts.
  • Participate in risk control reviews and assess counterparties and major transactions.
  • Monitor execution, conduct risk inspections, and analyze abnormal data.
  • Lead handling of risk incidents, actions, and post-incident review.
  • Collaborate across departments to integrate risk controls.
  • Report to management on overall risk exposure and recommendations.
  • Monitor regulatory changes and update risk strategies.
  • Review input records and verify valuations in risk system.
  • Assist finance in derivative-related funding and settlement.

Skills

Risk management
Market risk
Credit risk
Derivatives
Mandarin
Communication

Education

Bachelor's degree or above in Finance, Economics, Risk Management, or related field

Tools

Risk systems
Excel

Job description

Job Responsibilities
  • Establish and continuously improve the company's comprehensive risk management framework by formulating risk management policies, procedures, standards, and control tools to ensure full coverage across all business processes.
  • Identify, assess, and monitor credit risk, market risk, operational risk, compliance risk, and funding risk; prepare profit and loss reports, risk assessment reports, and risk alert notifications.
  • Participate in risk control reviews for business projects, conduct due diligence and risk ratings on counterparties, customers, and major transactions, and provide approval recommendations.
  • Monitor business execution, conduct routine risk inspections, abnormal data analysis, and risk investigations to promptly identify and issue warnings on potential issues.
  • Lead the handling of risk incidents, formulate response measures, follow up on corrective actions, minimize losses, and establish post-incident review and improvement mechanisms.
  • Collaborate with trading, finance, legal, operations, and other departments to integrate risk control requirements into business processes and enhance overall risk awareness among employees.
  • Regularly report to management on the company's overall risk exposure, effectiveness of risk control implementation, and optimization recommendations to support business decision-making.
  • Monitor changes in industry policies and regulatory requirements, and update risk management strategies in a timely manner to ensure compliant and stable business operations.
  • Review the input records of physical and derivatives transactions, and verify the accuracy of valuations in the risk management system.
  • Assist the finance department in managing derivative-related funding and settlement activities.
Job Requirement
  • Bachelor's degree or above in Finance, Economics, Risk Management, or related field.
  • 5-10 years of experience in risk management, trading risk, or commodity/LNG markets preferred.
  • Strong understanding of market risk, credit risk, and derivatives.
  • Proficiency in risk systems and Excel-based analysis.
  • Experience in Chinese corporations is an advantage.
  • Strong verbal and written communication skills in Mandarin. Need to liaise with HQ in China.
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