Global energy trading, procurement and supply group with an exciting Singapore growth story are currently hiring for a Market Risk Analyst to focus on their LNG portfolio. The successful candidate will enjoy strong autonomy and work alongside a dynamic trading team
Key responsibilities:
- Perform Market Risk Analysis primarily on the LNG portfolio with occasional focus on other products
- Work across physical and paper commodity market strategies
Manage the VaR process, including scenario analysis and pre deal analysis - Develop an understanding of the structuring and pricing of deals, including more exotic structures
- Calculating market risk capital metrics
- Validation of MtM and pricing curves
Skills required:
- Market or Financial Risk experience within the commodities sector is preferable
- Good communication skills and ability to work within a commercial function
- Enthusiasm and energy
If you are interested in this role please apply below or contact me for more information.