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| Location | Tokyo - 23 Wards |
| Job Type | Permanent Full-time |
| Salary | Negotiable, based on experience |
外資系エネルギートレーディング企業にて、クオンツリスクアナリストとして高度な市場リスク・信用リスク管理モデルの構築を担当いただきます。
LNG・石炭・電力などのコモディティ市場におけるエクスポージャー管理を行い、国際的な取引環境の中で定量分析を活用した戦略的意思決定を支援します。日本および海外チームと連携し、グローバルな金融・エネルギー市場で専門性を高められるポジションです。
Join a global asset-backed energy trading firm as a Quantitative Risk Analyst supporting sophisticated market and credit risk management initiatives. This is a rare opportunity to build advanced quantitative models within the energy trading and investment banking sector, managing exposure across LNG, coal, and power markets. You will work in an international environment, contributing directly to pricing accuracy, risk control, and strategic decision-making in Japan and global markets.
| Minimum Experience Level | Over 6 years |
| Career Level | Mid Career |
| Minimum English Level | Business Level |
| Minimum Japanese Level | Business Level |
| Minimum Education Level | Post Grad Degree (PHD/MBA etc) |
| Visa Status | Permission to work in Japan required |
必須条件経験・資格:
| Job Type | Permanent Full-time |
| Salary | Negotiable, based on experience |
| Industry | Bank, Trust Bank |