Senior Traded Credit Risk Manager – Commodities
The Traded Credit Risk Manager will be responsible for managing credit risk arising out of trading and dealing in commodity derivatives, physical commodities and funding transactions and will ensure that credit control and governance is in place. The jobholder will review product termsheets and ensure risk are appropriately addressed, that products are appropriate for clients and will need to carry out monitoring activities to ensure that key control guidelines, risk parameters, credit policies and processes are being followed. The incumbent will perform credit risk assessment for new commodity products, review and approve structured financial market transactions and play a leading role in regulatory reviews and audit processes.
The successful candidate will have at least 8 years credit risk experience which will include extensive exposure to commodity products, particularly OTC derivatives/exchange derivatives/physical commodities. Candidates are required to have excellent interpersonal and communication skills, including fluency in written and spoken English and Chinese.
If this position is of interest, please contact Matthew Whitman of Barclay Simpson for a confidential chat on +852 2546 1955 or e mail your resume to mw@barclaysimpson.com
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