The Credit and Risk Control Manager is responsible for the oversight of all S&T commodity trading activity in the Asia Pacific region (including Middle East) from both a credit and risk control perspective
Job Summary
The Credit and Risk Control Manager is responsible for the oversight of all S&T commodity trading activity in the Asia Pacific region (including Middle East) from both a credit and risk control perspective.
Responsibilities include overseeing credit risk policies, partnering with S&T on complex transactions, and providing expert market risk process stewardship for the team.
This position requires strong leadership and interpersonal skills, with management responsibilities for supervising direct reports and active leadership in the global S&T C&RC leadership team.
Matching Summary
The Credit and Risk Control Manager is responsible for the oversight of all S&T commodity trading activity in the Asia Pacific region (including Middle East) from both a credit and risk control perspective.
Skills & Requirements
Must-have
Commodity trading activity oversight
Credit risk management
Commodity risk controls
Market risk process stewardship
Daily market risk reports
Nice-to-have
Leadership in managing teams
Continuous learning and development
Inclusive and collaborative work behaviors
Drive changes as needed
Key Requirements
Bachelors’ degree in Finance, Economics, Mathematics, Statistics, Science, Engineering or equivalent work experience
10+ years of relevant experience in financial or energy risk management
Supervisory experience
Proficiency with energy trading risk management (ETRM) software platform