Managing credit risk (and any residual market risk) arising out of trading and dealing in OTC commodity derivatives, physical commodities and funding transactions, and ensure that credit control and governance is in place;
Perform credit / market risk assessment for new commodity products/businesses, new structures and terms of commodities deals, ensure risks are appropriately addressed;
Develop relevant risk control policies, guidelines and procedures (e.g. collateral management, physical commodity disposal) for the commodities business, and develop new credit risk mitigation measures to cope with head-office and regulatory requirements;
Lead the commodities credit team to carry out credit approval and monitoring activities;
Participated in firm-wide risk management system, and other ad-hoc risk management projects; and other duties directed by superiors;
The position may be principally located in Hong Kong or Singapore.
Bachelor Degree holder in business or relevant disciplines;
Solid knowledge / intensive exposures on Physical Commodities products (including metal, energy and agriculture products) is a must;
A minimum of 15 years of relevant experience in commodities business and risk management in reputable financial institutions;
High attention to details, Self-motivated, responsible, able to work independently and under pressure;
Good command of spoken and written English and Mandarin Chinese.
the recruitment agency
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