Credit Risk Manager (Energy & Utilities Sector)
S$95000 - 120000 / annum
24 October 2018
Finance and accounting
A global leader with a strong footprint and presence in multiple industry specializations is seeking a Credit Risk Manager to be part of their expanding operations in the region.
Reporting to the Head of Risk, you will work independently in developing and implementing the credit risk policy and framework for the organization, developing the group's risk monitoring and reporting on credit exposures, managing credit risk for wholesale counterparties or large customers as well as monitoring activities and exposures to ensure it is in line with approved risk appetite, risk limits, capital and liquidity needs. You will also analyse global and industry trends as well as key customers' financial profile and be involve in addressing market or credit related issues during contract negotiation and due diligence.
As the successful candidate, you will have a degree in accountancy and at least 5 to 8 years of relevant experience in quantitative risk, ideally within a deregulated energy or financial market, with a main focus on risk management. You should have in-depth understanding of energy market financial instruments, applications and risk, financial and commodities. You should also ideally be familiar with the financial and commodities market, financial derivatives and market risk methodologies. Strong communication skills and the ability to articulate risk and mitigating factors for key market and credit exposures will be essential.
Apply TodayPlease send your resume, in WORD format only and quote reference number Ref No STE10692531 , by clicking the apply button. Please note that only short-listed candidates will be contacted.
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