Job Description
A meticulous and analytical Risk Management Analyst is needed to identify and mitigate financial risks within our global raw material trading operations. Your insights will directly contribute to the company's stability and growth.
Responsibilities:
Conduct assessments to identify financial risks associated with commodity trading.
Develop and implement risk management strategies and policies. Perform quantitative analyses to understand risk exposure.
Prepare reports for stakeholders on the status of risk management activities.
Collaborate with trading and legal departments to ensure compliance with regulations.
Qualifications:
Bachelor's or master's degree in finance, risk management, or a related field.
Minimum of 2 years of experience in risk management or financial analysis.
Proficiency in statistical analysis and financial forecasting.
Knowledge of commodities markets and trading fundamentals.
xcellent problem-solving skills and attention to detail.
Take the next step in your career with a leading raw material trading firm!
Job Description:
A meticulous and analytical Risk Management Analyst is needed to identify and mitigate financial risks within our global raw material trading operations. Your insights will directly contribute to the company's stability and growth.
Responsibilities:
Conduct assessments to identify financial risks associated with commodity trading.
Develop and implement risk management strategies and policies. Perform quantitative analyses to understand risk exposure.
Prepare reports for stakeholders on the status of risk management activities.
Collaborate with trading and legal departments to ensure compliance with regulations.
Qualifications:
Bachelor's or master's degree in finance, risk management, or a related field.
Minimum of 2 years of experience in risk management or financial analysis.
Proficiency in statistical analysis and financial forecasting.
Knowledge of commodities markets and trading fundamentals.
xcellent problem-solving skills and attention to detail.