Risk Analyst

HENGYI INDUSTRIES INTERNATIONAL PTE. LTD.Singaporemycareersfuturepublished 09/17/2026

Core responsibilities

Highlighting key credit risk issues

  • Responsibilities cover credit analysis, customers credit due diligence, limit setting, exposure monitoring and reporting;
  • Reconciliation and managing of paper and physical transactions;
  • Validating forward curves;
  • Monitoring and analyzing all paper and physical exposures are accurately marked-to-market;
  • Calculation of VAR of the exposures;
  • Preparation of open positions, P&L, and VAR reports;
  • Proactively interact with customers, brokers, and clearing agents.
  • Maintain Trading Management System.

Job requirements

Bachelor's degree with at least 1-3 years of relevant working for a commodity trading house or bank within the risk/mid-office team is preferred. Fresh Graduates with a major in Financial, Data Analysis, Mathematics, or related fields are welcome to apply.

Experience in market risk assessment is essential, while experience in the oil trading industry is preferred.

  • Knowledge of VAR calculation model;
  • Practical experience in using VBA with excel to develop the VAR model.
  • Experienced in programming, such as MS EXCEL/VBA, MS Access/SQL, SAS and etc.
  • Excellent written & verbal skills in both English and Mandarin (to liaise with Mandarin speaking associates & counterparts);
  • Good communication skills and teamwork skills.