- Assess and monitor credit risk exposure across commodity trading portfolios.
- Conduct creditworthiness evaluations for counterparties and recommend credit limits.
- Support the development and maintenance of credit risk policies models and reporting frameworks.
- Collaborate with trading treasury and legal teams to ensure timely and accurate credit assessments.
- Prepare regular credit risk reports for internal stakeholders and senior management.
- Monitor market and counterparty developments to identify emerging risks.
- Participate in credit approvals and ensure adherence to risk appetite and governance standards.
Requirements
CA / MBA professional with 23 years of experience in Credit Risk within a commodity trading organization.
2- 3 Post qualification
- CA or MBA qualification with 23 years of post-qualification experience in Credit Risk.
- Proven experience in a commodity trading energy or financial services environment.
- Strong analytical and quantitative skills with proficiency in financial modeling and data analysis.
- Familiarity with credit risk frameworks Basel regulations and internal risk rating systems.
- Excellent communication and stakeholder management skills.
- Proficiency in Microsoft Excel PowerPoint and risk management systems.
- Ability to work independently and manage multiple priorities in a fast-paced environment.
Required Skills:
Qualification: MBA/PGDM from reputed B-school. Experience: 20 years in corporate sales institutional leasing or real estate investment. Requirements: Proven success in closing large deals and strong industry networks. Remuneration will be commensurate with qualifications and experience.
Required Education:
MBA/ PGDM
Assess and monitor credit risk exposure across commodity trading portfolios.Conduct creditworthiness evaluations for counterparties and recommend credit limits.Support the development and maintenance of credit risk policies models and reporting frameworks.Collaborate with trading treasury and legal ...
- Assess and monitor credit risk exposure across commodity trading portfolios.
- Conduct creditworthiness evaluations for counterparties and recommend credit limits.
- Support the development and maintenance of credit risk policies models and reporting frameworks.
- Collaborate with trading treasury and legal teams to ensure timely and accurate credit assessments.
- Prepare regular credit risk reports for internal stakeholders and senior management.
- Monitor market and counterparty developments to identify emerging risks.
- Participate in credit approvals and ensure adherence to risk appetite and governance standards.
Requirements
CA / MBA professional with 23 years of experience in Credit Risk within a commodity trading organization.
2- 3 Post qualification
- CA or MBA qualification with 23 years of post-qualification experience in Credit Risk.
- Proven experience in a commodity trading energy or financial services environment.
- Strong analytical and quantitative skills with proficiency in financial modeling and data analysis.
- Familiarity with credit risk frameworks Basel regulations and internal risk rating systems.
- Excellent communication and stakeholder management skills.
- Proficiency in Microsoft Excel PowerPoint and risk management systems.
- Ability to work independently and manage multiple priorities in a fast-paced environment.
Required Skills:
Qualification: MBA/PGDM from reputed B-school. Experience: 20 years in corporate sales institutional leasing or real estate investment. Requirements: Proven success in closing large deals and strong industry networks. Remuneration will be commensurate with qualifications and experience.
Required Education:
MBA/ PGDM
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