Mandarin Chinese Risk and TREASURY MANAGER

New Yesterday

Job Description

This is an exciting and pivotal role with a fast-growing, international energy trading company . You will need fluent MANDARIN with an ENERGY TRADING background to take on this job .The company has its HQ in Asia and has a growing presence across Europe and the Middle East. It serves as a critical link between global energy producers and major commercial clients . The role is fast moving and you will bring your language and sector expertise to this organization that combines real-time market intelligence, risk-managed trading, and a strong logistics backbone to ensure seamless delivery of energy solutions in one of the world’s most dynamic sectors.

The company is secure and stable with a strong balance sheet, ambitious growth targets, and a culture that values expertise, agility, and multicultural collaboration. Apply now!


TITLE: Mandarin Chinese Risk and TREASURY MANAGER

Salary : up to £70,000 + Benefits

Work style: Office based

Language required: Fluent Mandarin

Location: London


Company details:

This is pivotal role with a fast-growing, international energy trading company . Headquartered in Asia with a growing presence across Europe and the Middle East, this company serves as a critical link between global energy producers and major commercial clients — including national carriers, airports, and strategic infrastructure partners. Its an exciting role in which you will bring your expertise to this organization that combines real-time market intelligence, risk-managed trading, and a strong logistics backbone to ensure seamless delivery of energy solutions in one of the world’s most dynamic sectors.


DUTIES: 2 key elements to the role: Risk management and Treasury management . You will need an energy background for this role

Market/credit risk management:

  • Review the implementation of the company risk management framework (policies, procedures and methodologies) across European operations.
  • Conduct regular reviews of trading book strategies
  • Monitor compliance with energy trading and control policies.
  • Deliver analysis to the management and trading teams on key risk exposures
  • Produce daily and monthly P&L reports in a timely manner.
  • Assist with credit application requests from trading and market teams.
  • Attend regular internal meetings to report on risk issues
  • Look into new business and product applications, settlement of exchange-listed futures and cleared swaps, margin call management, and other related tasks.

Treasury management:

  • Perform classic treasury functions (daily bank account management, online payments, and reconciliations)
  • Monitor and update the daily cash flow statement.
  • Perform monthly cash flow analysis as part of the month-end close process.
  • Ensure compliance with the policies on the holding of EUR, GBP, and other non-functional currencies.
  • Prepare loan documents, and negotiate terms with counterparties and banks.
  • Support bank facility negotiations


REQUIREMENTS

  • Degree in Business, Economics, Finance, or other quantitative disciplines is preferred.
  • Solid experience within oil trading companies or energy commodities trading industry or banks ( energy related)
  • Risk & compliance background
  • Fluent Mandarin
  • Understanding of ETRM systems, (preferably Commodity XL). Ideal

Location:
City Of London
Category:
Finance And Insurance

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