Manager (Risk Management Dept. and Finance Dept.) - Singapore - MITSUI & CO. ENERGY TRADING SINGAPORE PTE. LTD.

    MITSUI & CO. ENERGY TRADING SINGAPORE PTE. LTD.
    MITSUI & CO. ENERGY TRADING SINGAPORE PTE. LTD. Singapore

    2 weeks ago

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    Description
    Roles & Responsibilities

    JOB DESCRIPTION

    · Responsible to report to Chief Financial Officer (CFO) for Risk Management Dept. and Finance Dept. related tasks, including but not limited to:

    ⁃ Reporting of daily trading positions (net earning and mark-to-market, credit exposure, breakdown of each portfolio book, risk volume calculation [VaR and liquidation cost], and other trading risk related items);

    ⁃ Credit line analysis, counterparty assessment, and credit risk position monitoring;

    ⁃ Risk management of trading activities such as market risk assessment, credit risk control, fair valuation of trading positions, and other risks involved in the business.

    ⁃ Cash flow management and analysis, and bank compliance related management.

    ⁃ System related matters (contribute to the management of ETRM [Energy Trading Risk Management] system and other digitalization projects of the company process);

    ⁃ Compliance related matters (J-SOX, Internal Audit, and etc.);

    ⁃ HR related matters of the department and support growth of the department members.


    • Support CFO and have close communication with all Chief Officers and solve management level issues from Risk Management and Finance point of view;

    · Support business department activity from accounting and tax point of view and maintain good relationship with them to get information;

    · Build and maintain good relationship with Head Quarter in Japan, Regional Head Office in Singapore, and other external counterparties such as banks, and so forth.

    · Prepare reports in English and Japanese language, including explanations on market conditions, variances on calculations, and attend to queries from HQ and other Mitsui affiliates.

    JOB REQUIREMENTS

    · Good degree from a recognized University;

    · Possess at least 5 years of relevant working experience in finance and/or risk management (especially expecting trading company which involves derivative transactions);

    · High levelawareness of compliance and internal control;

    · Basic knowledge on risk analysis & management, hedging, economic evaluation, financial, credit and accounting knowledge of trading business (and international/energy trading business related experience preferable);

    · Excellent English and Japanese language skills with the ability to logically comprehend a written document, and ability to write formal business correspondences for communication with clients (Japanese / International / local) and other Mitsui Group offices (i.e. Tokyo and other offices in the network);

    · Good inter-personal skills for internal and external communication;

    · Can-do attitude, with the willingness to learn and willingness to work hard to create value, due to international nature of the business;

    · Excellent skills in MS Excel, Word, PowerPoint and other office digital tools. Willingness to learn new digital tools.

    Tell employers what skills you have

    Hedging
    Market Risk
    Risk Assessment
    Japanese Language
    Risk Control
    Cash Flow Management
    Risk Management
    Excel
    Audit
    Credit Risk