Manager, Commodities And Trade Risk

756

London, United Kingdom
Credit risk analysis and reporting
Financial modelling and analysis
Transaction structuring and negotiation
The role requires a dynamic and proactive approach to transaction delivery and meeting client timelines in an expanding commodities portfolio

Job Summary

  • The role requires a dynamic and proactive approach to transaction delivery and meeting client timelines in an expanding commodities portfolio.
  • Your responsibilities will include Counterparty Credit Assessment, Structuring, Collateral & Documentation, Policy, Governance & Compliance, Credit Recommendation & Decisioning, Stakeholder Management, Portfolio Monitoring & Reporting, Maintaining Data & Models, and Continuous Improvement.
  • Close collaboration with Coverage, Product, Legal, and senior management in London and other key jurisdictions (Sydney, New York, Amsterdam, Singapore) is expected.

Matching Summary

The role requires a dynamic and proactive approach to transaction delivery and meeting client timelines in an expanding commodities portfolio.

Skills & Requirements

Must-have

  • Credit risk analysis and reporting
  • Financial modelling and analysis
  • Transaction structuring and negotiation
  • Portfolio monitoring and reporting
  • Stakeholder engagement and collaboration

Nice-to-have

  • Proactive approach to transaction delivery
  • Early identification of emerging trends
  • Constructive challenge and problem solving
  • Industry research and analysis

Key Requirements

  • 5+ years experience in credit risk management
  • Bachelor degree in finance or economics
  • Proficiency with risk systems and financial databases

Work Rights

Not specified

Tailored Resume

Cover Letter