[USL57] - Specialist - Market Risk

[USL57] - Specialist - Market Risk

19 Apr
|
Shell India Markets Private Limited
|
Chennai district

19 Apr

Shell India Markets Private Limited

Chennai district

The Role





The CRMS team in Chennai is responsible for global T&S; market and credit risk analytics and reporting. You can expect to be responsible for a diverse mix of activities. A strong self-starter, you’ll thrive working under pressure, utilizing your experience to enhance market/ credit risk management.



Your primary responsibilities will include:



1.Monitor the Market and Credit Risk Platform daily processes that run across Shell T&S; businesses. Review and resolve errors/ alerts/ exceptions in coordination with stakeholders and IT teams.



2.Play a coordination role among team members across the globe address and correct data integrity issues in a timely manner.





3.Maintain/update various configurations for the Market/ Credit Risk Platform in coordination with external stakeholders.



4.Validate daily movements for risk metrics, and report key drivers and metrics to T&S; senior management.



5.Re-run/ Partial Run production processes as needed.



6.Monitor & Support daily production of Spotfire Reporting.



7.Provide ad hoc analysis by running what if simulations and queries off SQL and Oracle Databases



8.Ensure activities are carried out with safety awareness and are performed in compliance with external regulation, the Shell Control Framework, SOX and Financial Reporting requirements and Shell Trading mandate and policies.



Your strong communication skills will make a real difference, as you nurture successful relationships with a range of business and finance stakeholders, confidently presenting complex ideas in ways that can be easily understood.



Dimensions :



Where you fit in:



This role sits in Shell’s Global Trading & Supply Risk Management team, with a focus on supporting risk platform systems and daily reporting right across our businesses.



Education Requirement/ Field of Study :



Candidates with a bachelor’s/master’s degree, preferably in Statistics, Economics or Mathematics, who’ll thrive within a global, virtual work environment.



Requirements :



We’re looking for a confident communicator, with as much of the following on your CV:



1.Risk management knowledge or experience would be a strong plus.



2.Highly numerate, logical, have the ability to prioritize and multi-task.



3.Understanding of Oil Markets business and trading management information systems.



4.Be motivated to 'dig into conflicting data' and convincingly explaining the ‘story behind them’.



5.Degree or certification in finance, data analytics, mathematics or engineering disciplines.



6.Experience working with SQL programming, ETL and BI tools (Alteryx, Spotfire, PowerBI).



7.2-3 years techno-functional experience within finance.



8.CFA or GARP certificates will also be an advantage. (FRM or ERP certification)



Shift Timings: 2pm to 11pm.

The original job offer can be found in Kit Job:
https://www.kitjob.in/job/22209650/usl57-specialist-market-risk-chennai-district/?utm_source=html

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