ADNOC Group

Specialist, Market Risk - ADNOC Trading

ADNOC Group

Singapore · Full Time

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Experience
4–5 yrs
Salary
Openings
1
Posted
2 weeks ago
Work mode
In office
Education
Bachelor's degree
Eligibility
Professionals with 4 to 5 years of relevant market risk or middle office experience in trading environments and a bachelor’s degree in finance, engineering, science, or a related field may apply.
Resume
Required to apply

Where you'll work

Job description

About the Role

ADNOC Trading is seeking a Market Risk Specialist to join its Middle Office in Singapore. In this position, you will help the wider risk function track, assess, and report market risk across trading portfolios, with a strong focus on accurate risk capture, control, and reporting.

About ADNOC Trading

ADNOC Trading is the international trading division of ADNOC, with a focus on crude oil, LNG, and an expanding set of products that includes carbon and sulphur. With operations anchored in key locations such as Abu Dhabi and Singapore, the business plays an important role in linking ADNOC to global markets and supporting energy supply across more than 50 countries.

Job Purpose

The role exists to support the Middle Office in Singapore and global risk teams by identifying, monitoring, and analyzing market risk across trading books. A major part of the job is ensuring that risk is captured correctly and that reporting and controls remain accurate across all trading activity.

Key Responsibilities

  • Track market risk drivers across trading portfolios and keep a close watch on exposures.
  • Prepare daily market risk reports and interpret the main drivers behind risk and P&L movements.
  • Contribute to the design and improvement of risk frameworks, limit structures, and governance processes.
  • Run stress tests and carry out risk analysis across trading books.
  • Review daily P&L, validate results, and investigate unusual changes or outliers.
  • Work closely with trading, finance, compliance, and other internal partners.
  • Assist with upgrades and refinements to risk tools and systems, including VaR, stress testing, and monitoring platforms.
  • Aggregate exposures across desks and regions for a consolidated risk view.

Requirements

  • A bachelor’s degree in finance, engineering, science, or a closely related discipline.
  • 4 to 5 years of experience in market risk or middle office roles within trading businesses.
  • Solid hands-on experience with quantitative methods and risk analytics.
  • Working knowledge of global energy markets, including supply and demand fundamentals.
  • Understanding of derivatives, commodities trading approaches, and financial instruments.
  • Experience with platforms such as Openlink/Endur and Power BI would be an advantage.
  • Strong analytical ability, clear communication, and stakeholder management skills.

Why Join Us?

This position offers the chance to work in a major global energy trading centre, gain direct exposure to international trading operations and risk strategies, and be part of a collaborative, high-performing team.

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