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求人ID : 1470210 更新日 : 2024年04月25日
日系大手商社グループ会社~エネルギー業界での募集です。 内部統制・SOX・コン…

【800~1000万円】Risk Manager

採用企業 日系大手商社グループ会社~エネルギー業界
勤務地 東京都 23区
雇用形態 正社員
給与 800万円 ~ 1000万円

募集要項

【求人No NJB2209953】
■The Position:
The Risk team is responsible for managing and reporting various type of risks related to energy trading in our company business. These risks include not only market risk but also credit cash liquidity and other category risks. The team manages these risks with other departments through updating our policy system and method of measurement and assessment. We usually monitor risks especially market risk in each trading book by some certain method to within our risk tolerance but also take action with senior management when some crucial events we need to judge as soon as possible happen. We work closely with the portfolio management/pricing team and the senior management to identify the risks involved and confirm within or over our risk tolerance allocated based on company strategy. The team is required several types of knowledge trading derivatives financial method statistics expertise in electricity and related field company policy making etc. We are seeking an experienced motivated and highly individual with expertise who can contribute to the work of the team and bring new insights and modelling approaches. This position offers the opportunity to learn much about risk management in the electricity and other energy trading markets. Together we will grow to become a market leader in this field. In addition the position offers further career opportunities as the team grows over time and with new business including renewable business.

■The Role:
・As middle office responsible for management of risks related to the energy trading business.
・Focus on the risk and activities of Japan Trading. More specifically this includes: Identifying capturing and reporting risks of the trading business including market price movement credit liquidity and operational incident.
・Ensure that all trading activities are within our risk limits/tolerances and taking measure independently when it could breach.
・Analysis develop and establish methods for risk measurement and assessment.
・Manage risk policy and trading permission procedure.
・Routinely presenting some risk reports to senior management in a clear and concise manner.

応募必要条件

職務経験 無し
キャリアレベル 中途経験者レベル
英語レベル ビジネス会話レベル
日本語レベル ネイティブ
最終学歴 高等学校卒
現在のビザ 日本での就労許可が必要です

スキル・資格

【必須】 ・10+ years of professional experience in a risk management or the relevant work in financial market preferably electricity or commodity market experience ・An analytical person with strong quantitative skills especially statistics ・Knowledge of risk metrics or familiarity with the principles of risk assessment ・Experience of managing risks in derivatives not only linear type but also option and other non linear type of products ・Experience of programming ・Working with datasets databases excel and time series data ・Diligence with an attention to detail ・Flexible and eager to learn material in new fields ・Tough communication skill on internal ・Understanding of both Japanese and foreign company cultures ・Business level of English and fluent Japanese 【歓迎】 ・Preferably a masters (or PhD) professional qualifications in a quantitative field ・Knowledge of wholesale electricity market renewable energy business and energy futures market ・Knowledge of OTC derivatives transaction and management ・Knowledge of internal control on risk policy and related company rule.

勤務地

  • 東京都 23区

労働条件

雇用形態 正社員
給与 800万円 ~ 1000万円
勤務時間 09:00 ~ 17:00
休日・休暇 【有給休暇】有給休暇は入社時から付与されます 入社7ヶ月目には最低10日以上 【休日】週休二日制 土 日 祝日 年末年始 ※年…
業種 石油・エネルギー

職種

  • 金融系専門職 > コンプライアンス・監査

会社概要

会社の種類 外資系企業