Requirements:
· Strong academic background (degree in economics, industrial engineering, statistics or equivalent),
· 2 to 7 years’ experience in related fields
· Basic understanding of financial markets including derivatives
· Ability to work effectively in a highly collaborative environment, strong interpersonal skills, strong analytical thinking and communication skills,
· Excellent command of both written and spoken English,
· MBA degree or MSc on finance or risk management fields is a plus
· Knowledge/experience on energy markets is a plus
· Knowledge of MS Office applications
Job Description:
· Consolidating several types of commercial risks by gathering and translating information from related departments across the business
· Assessing and measuring both domestic and overseas operations commercial risks regularly and developing necessary systems
· Developing and maintaining Value at Risk or simulation based risk models in cooperation with data analytics teams
· Taking active role in establishing and updating risk policies and procedures
· Tracking forward positions and taking active role in establishing necessary systems
· Exploring world-wide best practices on risk management and adaptation of existing systems
· Assist in preparation for presentations to Executive Management for regular meetings