Current jobs related to Trading Risk - Singapore - ExxonMobil
-
Trade Risk Manager
1 week ago
Singapore beBee Careers Full timeJob DescriptionThis role is a key position within the Trade Risk & Portfolio Management team, responsible for end-to-end management of all risk types for Trade & Working capital products. The team coordinates risk management across all process universes underpinning delivery of the Trade offering to clients.The successful candidate will be responsible for...
-
Lead Counterparty Risk Manager
2 weeks ago
Singapore Wintermute Trading Full time**About Wintermute** **Risk Management at Wintermute** Lead Counterparty Risk Manager is a vital role to Wintermute’s growing OTC and counterparty-facing business. You will build risk management framework for a large number of products (spot, derivatives, electronic and voice trading, borrowing, etc) and types of counterparties. You will work closely...
-
Risk Management and Trading
1 week ago
Singapore beBee Careers Full timeRisk Management and Trading ExpertWe are seeking an experienced Risk Management and Trading Expert to join our team. As a Vice President FX Option Trader, you will play a crucial role in managing risk exposures and developing trading strategies for our global client franchise, including hedge funds, banks, asset managers, and corporates.Key...
-
Singapore Risk Solutions Full timeKnowledge of the government regulations for each target country, the current credit risk evaluation processes including credit scores, credit reports, credit policy, workflow processes (i.e. loan origination), etc. is preferred. Accountabilities: - Develops and maintains an in-depth understanding of all customer objectives within the credit risk...
-
Junior Risk Analyst
3 days ago
Singapore RWE Supply & Trading Full time**Junior Risk Analyst**: - **Location(s)**: - Singapore, 01, SG, 48619 **RWE Supply & Trading Asia-Pacific Pte. Ltd., Singapore** **To start as soon as possible, full time, permanent** **Department Insights** RWE Supply & Trading acts as the interface between RWE and energy markets around the world. Approximately 2,000 employees from over 70 different...
-
Risk Manager
7 days ago
Singapore CONNECTe International Pte Ltd Full timeJob Description: Connect Energy partners with a petrochemical trading company in Singapore to look for a RISK MANAGER. **Responsibilities** - Responsible in identifying, analyzing, assessing and developing mitigating strategies for the potential risks that could impact an organization's financial stability, reputation and operations. - Measure and report...
-
Risk Manager
7 days ago
Singapore CONNECT ENERGY SERVICES PTE. LTD. Full timeConnect Energy partners with a petrochemical trading company in Singapore to look for a **RISK MANAGER **. **Responsibilities** - Responsible in identifying, analyzing, assessing and developing mitigating strategies for the potential risks that could impact an organization's financial stability, reputation and operations. - Measure and report the market...
-
Trading Risk Analyst, Quant Trading Team
3 days ago
Singapore Crypto.com Full timeIn this role, you will be driving the risk and P&L monitoring as well as operational controls for the trading desks. You will gain an in-depth understanding of the trade life cycle and the operational aspects of each step. **Responsibilities**: - Trading risk management: real-time monitoring of risk, P&L, funding usage - Trading risk oversight: market...
-
Trading Risk Analyst, Quant Trading Team
3 days ago
Singapore Crypto.com Full timeIn this role, you will be driving the risk and P&L monitoring as well as operational controls for the trading desks. You will gain an in-depth understanding of the trade life cycle and the operational aspects of each step. **Responsibilities**- Trading risk management: real-time monitoring of risk, P&L, funding usage - Trading risk oversight: market risk,...
-
Risk Analyst
2 weeks ago
Singapore UNION INTERNATIONAL TRADING PTE. LTD. Full timeJob OverviewWe are seeking a skilled professional to join our team at Union International Trading Pte. Ltd. as a Risk Analyst. The successful candidate will be responsible for managing and analyzing risk across various commodity markets.Key ResponsibilitiesThe ideal candidate will possess strong analytical skills, with the ability to generate reports,...
Trading Risk
3 weeks ago
**About us**
At ExxonMobil, our vision is to lead in energy innovations that advance modern living and a net-zero future. As one of the world’s largest publicly traded energy and chemical companies, we are powered by a unique and diverse workforce fueled by the pride in what we do and what we stand for.
The success of our Upstream, Product Solutions and Low Carbon Solutions businesses is the result of the talent, curiosity and drive of our people. They bring solutions every day to optimize our strategy in energy, chemicals, lubricants and lower-emissions technologies.
We invite you to bring your ideas to ExxonMobil to help create sustainable solutions that improve quality of life and meet society’s evolving needs. Learn more about **our What and our Why** and how we can** **work** together**.
**ExxonMobil in Singapore**
ExxonMobil is one of Singapore’s largest foreign manufacturing investors with over S$25 billion in fixed asset investments.
We have manufacturing facilities that include an integrated world-scale refining and petrochemical complex in Jurong and Jurong Island, a network of service stations under the Esso brand, operate a lubricant plant and are a supplier of cylinder cooking gas. ExxonMobil provides customers and commercial markets in the region with ground transportation, industrial, aviation and marine fuels, lubricants, petrochemicals and liquefied natural gas (LNG).
As Singapore serves as the AP hub for some of our businesses, we employ about 3,500 people across positions in operations, projects, commercial, corporate support functions and others.
ExxonMobil also contributes to community programs in Singapore that support the arts, education, health and the environment.
**What role you will play in our team**
As part of Global Trading Risk & Compliance team, you will be responsible for managing ongoing and ad-hoc quantitative trading risk analysis supporting ExxonMobil’s Global Trading activities
**What you will do**
- Maintain, analyze, and support risk management models for Trading Strategies, Risk Management, Real Options Valuation, and Simulation of Forward Curves.
- Develop, maintain, analyze, and validate Value at Risk (VaR) models capable of handling complex transactions
- Ensure adherence to established risk limits by commodity, region, program, book, and strategy
- Design, implement, analyze, and refine scenario analysis and stress test methodologies and tools
- Model and estimate volatilities and correlations, both historical and implied
- Build strong relationships with the Commercial (Trading, Origination, Structuring) teams
- Develop a deep understanding of supply & demand fundamentals, trading & hedging strategies, and risk management techniques
- Support independent assessment of new business opportunities (proposed by Origination teams and modeled by Structuring teams) by reviewing transaction terms, model assumptions, valuation methodologies, and expected results. Review plan for hedging the proposed transaction. Ensure that the proposed transaction and associated hedges can be properly valued and reported by the risk management system of record
- Analyze performance of trading / origination strategies coupled with hedging strategies to explain drivers of P&L and position changes
- Provide recommendations for improvement and enhancement of risk management models
- Effectively communicate recommendations on complex topics to a variety of constituents, including Management, Traders, Originators and Risk Management
- Work closely with other functions to provide ongoing transaction support
**About you**
**Skills and Qualifications**
- Bachelor's degree or above (Master's, MBA, CFA, or Ph.D.) in Quantitative Finance, Mathematics, Statistics, Finance or Accounting
- Strong analytical skills, and knowledge of financial instruments
- Strong leadership, communications skills, and executive presence in discussions with senior management
- Good understanding of decision analysis techniques, statistical modelling and comfort in modelling issues involving risk and uncertainty
- Proficiency with Python, JavaScript, R, C, SQL or other programming languages is desirable.
- Experience with the Microsoft suite of products: Excel, Word, Access, and PowerPoint
**Your benefits**
An ExxonMobil career is one designed to last and we provide job rotations throughout your career with us. Our commitment to you runs deep: our employees grow personally and professionally, with benefits built on our core categories of health, security, finance, and life.
Currently our employees benefits include: Long Term Savings Allowance, dental reimbursement, annual health checkups and Home Ownership Assistance Plan amongst others and these are updated from time to time.
**Stay connected with us**:
- Learn more at our website
- Follow us on LinkedIn and Instagram
- Like us on Facebook
- Subscribe our channel at YouTube
**Equal Opportunity Employer**
It is the policy of the Company to pro