Manager, Commodities And Trade Risk

Markham Bank

London, United Kingdom
Credit risk analysis
Financial modelling
Transaction structuring
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.
  • Responsibilities include counterparty credit assessment, transaction structuring, policy adherence, credit recommendation, stakeholder management, and portfolio monitoring.
  • Specific experience in commodities and natural resources sectors is advantageous, alongside strong financial analysis and modelling skills.

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
  • financial modelling
  • transaction structuring
  • credit policy adherence
  • portfolio monitoring
  • stakeholder engagement

Nice-to-have

  • industry sector awareness
  • macroeconomy awareness
  • geopolitics awareness
  • emerging risk identification
  • constructive challenging ability

Key Requirements

  • 5+ years experience in credit risk management
  • Bachelor degree in finance or economics
  • Proficiency with risk systems and financial databases
  • Product knowledge across corporate lending, structured finance, and derivatives

Work Rights

Not specified

Tailored Resume

Cover Letter