commodity sales resume

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Commodity sales resume rahm emanuel resume

Commodity sales resume

Candidate will often be required to? Strong Communication Skills Meticulous attention to detail Ability and desire to work in a team-centered environment Required Ability to quickly understand and learn complex products and proactively expand shipping and oil knowledge. Evaluate, test and report on the adequacy and effectiveness of the control environment Build and maintain key relationships with stakeholders and colleagues, establishing a culture of engagement while adding value, effective teamwork and innovative thinking Travel to overseas business locations as required Recognized accounting qualification is desirable.

Work with trading professionals in various countries to tailor pricing algorithms for various Commodities Interest in market microstructures and quantitative Commodities trading in global markets Design and programming skills, with primary focus on Python and Java Excellent verbal and written communication skills as this position involves frequent interaction with different teams in the firm Understands the different types of risk and able to discuss in detail ways of managing these risks.

Setting a vision and strategy for E-Content product development for the Fixed Income Division includes but not limited to Morgan Stanley Matrix Client Portal Developing relationships with the key stakeholders across many FID businesses, and coming up with new product ideas Delivery roadmap, which includes prioritizing IT work, helping drive functional specifications, UAT, prod deployment and client marketing Having in-depth understanding of Matrix core architecture and having indirect influence over technology team Accountable for annual budget for the E-Content for the Fixed Income Division Direct management of a global team of product managers NY and London.

Work on specific commodity-related transactions, including dealvaluation and structuring as well as participate in internal and external discussion developing structured deal solutions for customers Assist market strategists and traders to integrate fundamental points of view with trading strategies Work with teams to develop marketing presentations, develop models, assimilate historical data and generate reports that create interest in commodities and develop new business An in-depth understanding of gas, power, and crude markets, and a proficient knowledge of options trading, is a plus Strong PowerPoint skills Demonstrated problem solving skills and willingness to ask tough questions Solid leadership, team, communication, and interpersonal skills Can multitask and prioritize in a demanding environment.

Able to communicate and present to executive level business management. Internally, must also be persuasive with a considerate but firm touch Strong personality, tough, adaptable and resilient Must have a good eye for detail, but also be able to step back and see the bigger strategic picture Hard-working but with a good sense of balance to contribute to the professional culture Ambitious, dynamic, highly driven and motivated.

An agent of change The maturity and gravitas to challenge ideas and balance opportunities and threats Comfortable operating in a management environment, which is open and honest, lean, informal and dynamic Excellent people management skills with the ability to lead and develop a Finance team reporting directly and indirectly. Produce Daily Balance sheet with commentaries Attend to ad hoc queries from the traders and other infrastructure partners relating to trading revenue and balance sheet Foster a culture of performance improvement by serving as a lead for recommendations and be accountable for the delivery of qualitative and efficiency benefits from direct reports Daily reporting and maintenance of the central systems and sub-ledger Driving the monthly reporting of control packs review and recommend appropriate corrective action to simplify or create efficiencies to the current process to the Global PCG line heads Ensure clean audit results from internal and external reviews.

Ensure the completeness and accuracy of key stroke documentations for key PC processes, risk assessment and SOX documentation Has the initiative and ability to break down problems into components parts and resolving them Attention to detail and analyticalConfident and assertive manner. Displays enthusiasm, initiative and diligence Opportunity to be groomed to be future leaders, where there will be expended remit for future growth Works well in a team with high standards for team work.

Supply chain leadership and management for driving bottom line margin improvement, quality, and delivery Lead best in class strategic sourcing, negotiations, and supplier performance management Experience in the Travel industry, preferably on the corporate side Data analysis skills including facility with data manipulation in Excel and interpretation of large data sets. Interfacing with the business users and the BA team Collating business requirements users and communicating clearly to the development teams in Houston and Globally as needed Minimum of 5 years of Openlink development experience Delivery focused.

S and U. Ensure timely receipt and payment of funds Maintenance of customer accounts and timely resolution of breaks Build and review structured settlement excel tools At least 3 years of experience At least 3 years of experience within physical or financial commodities Physical commodity product knowledge Highly motivated, enthusiastic and confident, can speak to sales and trading and clients when needed Team oriented work style. Responsible for month end close process for assigned legal entities.

This will require deep understanding of the markets and articulating views to clients Maintain and update spreadsheets with correct fundamental data Significant and relevant knowledge of European gas market fundamentals Commercial experience understanding the main drivers behind gas market pricing, and how to model them Excellent organisational skills with flexibility to analyse other commodities Ability to interact comfortably with business clients and management.

Some travel may be required. Risk Management: A minimum of 2 years of prior work experience and demonstrated risk management aptitude in a major global investment banking institution. Act as local NAM market risk representation of global commodity market risk management Report to the Global Head of Commodity Market Risk and be accountable for all day-to-day activities for the North American Oil Desks and provide support to various regulatory initiatives including Fed CCAR stress tests, Volcker regulation etc Evaluate the appropriateness of the risk profile and influence changes where necessary, working with Risk Reporting and Risk Analytics and IT Support in improving current reports and metrics Drive enhancements and efficiency in the risk framework and process by working closely with our partners in Technology, Risk Control, Risk Analytics and Model Validation Own specific regulatory-driven projects that could span across businesses outside of immediate coverage Position reports to the Global Head of Commodity Market Risk.

Work with various risk managers to validate the stress testing results prior to submission to the relevant regulator Coordinate monthly Volcker reporting requirements and validate monthly results prior to submission to various regulators Provide support for the risk management of Swap Dealer entity including daily monitoring of risk, preparation of swap dealer reports for the governing body and regulatory submissions for the CFTC Coordinate with Risk control and risk reporting to ensure data quality of the downstream risk feeds.

Facilitation of efficient risk-return decisions The analysis and integrity of the risk sensitivities that measure the risks being taken by the trading desks, liaising with the groups that produce the sensitivities including Risk Reporting, Product Control, and Operations, as necessary. Together with the rest Athena community in the region, define the support procedures for Athena that will be shared by different teams and LOB, reuse tools and build support tools where applicable Problem and incident management Incident review Trend analysis Providing technical assistance and coordination during production incidents.

Demonstrate strong organizational skills with keen attention to detail Confirm correct settlement prices and ensure trading systems are updated with correct pricing curves Identify, analyze and ensure resolutions to cash fail receivables and trial balances Work closely on complex settlements with internal and external key stakeholders Perform key settlement functions by creating payment vouchers and receivable invoices on a daily basis Process early closeouts and novation of trades as required Effective analytical and problem solving skills This is a highly intensively trading environment with opportunities to work closely with various groups.

Producing commentary and required substantiation documentation Bachelors degree in Accounting, Economics or Finance years of experience Ability to handle multiple tasks in a fast-paced deadline environment Strong analytical and technical skills.

Experience in consultancy is a plus They will need to be an independent worker with a good working knowledge of at least two of the statistical packages, such as R, SAS, MATLAB or Python The consultant will be able to deliver to demanding deadlines, be a team worker and possess good communication skills, with the ability to communicate complex models and concepts to less technical personnel.

Daily production of P and Ls and communication of results to the Desk. Management responsibility, although this may not be in the early stage of the role Good understanding of Investment Banking Good knowledge of Commodity Products Ability to interpret financial information Ability to negotiate and strong people skills Ability to put knowledge of financial principle into P and L and Profit Attribution analysis Able to perform effectively within a time pressurised environment Working knowledge of Allocated and Unallocated PM trading and experience reconciling metals inventory balances Strong PC skills in Excel, Word, and Access.

Stays informed of current business, economic and regulatory developments relevant to our clients A bachelor's degree and approximately years manager of related work experience Strong communication, presentation, client service and technical writing skills. Conduct equity research in Commodities sector i. These may be company specific or relate to various macroeconomic themes being explored At least 5 years of buy or sell side equity research experience in Commodities sector High degree of comfort with financial statements and ability to conduct specific and detailed analysis as directed Strong ability to convey investment ideas Good listener with communication skills.

Essential qualification: Graduation in Commerce, specialization in Financial Accounting Preferred 1 — 3 years financial experience Capital Market related experience an advantage Excellent organizational, communication and relationship management skill. Developing strategic, stable and resilient solutions Working closely with key stakeholders in front office, quantitative analysis, and market risk Collaborating with other commodities technology teams and more widely across markets technology Applying industry best practice for continuous integration, automated testing and deployment Proven expertise in development of trading tools on quantitative analytic libraries Strong technical background in C ,.

Net, WPF, grid computing and messaging Very strong understanding of commodities derivatives pricing. Experience in commodities products implementation across multiple product classes such as Oil, Metals, Gas and Power etc Very strong understanding of commodities derivatives pricing Proven expertise in Openlink risk and pnl design and reporting Deep knowledge in lifecycle management across markets and products in Openlink Experience managing developers and business analysts in a fast-paced trading environment.

A strong comprehensive understanding of the Commodities and Commodity Trading industries Minimum Bachelor's degree in Accounting, Finance, or related discipline At least years of experience in a financial services firm or in public accounting, with an appropriate level of exposure to risk management Good understanding of internal control concepts Ability to run audits, manage projects and participate in audit assignments in a team environment Strong communication, interpersonal and analytical skills Enthusiastic, self-motivated, effective under pressure and willing to take personal risk.

Efficiently and accurately verify the settlement calculations for structured Electricity and Natural Gas settlements Timely resolution of settlement disputes Identify, analyze, and ensure resolutions to cash fail receivables and trial balances Confirm accurate trade representation in risk Provide Operational support for New Product Approval in Commodities Address ad-hoc requests from Clients, Traders, Origination, Legal, Credit, IT and Controllers Ability to Multitask.

Supporting as analyst to Portfolio Manager Supporting in trading and research - primarily of crude oil and agriculture Using a variety of valuation tools and methodologies to create fair value opinions years work experience within crude oil or agriculture sector. Lead and participate in multiple engagement teams within Financial Accounting Advisory Services Collaborate with the senior manager, partner and client to determine a strategy that appropriately addresses risk and manages client expectations relating to deliverables Ensure work is delivered timely and in compliance with regulatory requirements A bachelor's degree with approximately five years of related work experience or a graduate degree with approximately four years of related work experience Approximately five years of experience working as an auditor for a public accounting firm with some experience serving financial services clients; will consider candidates with four years of experience with an advanced degree Deep experience serving clients on compl x financial accounting matters in the banking and capital markets, insurance and asset management industries.

Coordinate domestic and international travel arrangements. Experience in consultancy is a plus The consultant will be able to deliver to demanding deadlines, be a team worker and possess good communication skills, with the ability to communicate complex models and concepts to less technical personnel. Daily analysis of the market risk profile of the commodities trading businesses using tools such as VaR, Stressed VaR, Scenario Analysis, Liquidity Profile, Limit utilization Real time monitoring of the risk positions against limits and keeping abreast of all the macro and commodity related market developments Perform independent analysis of embedded market risks in the traded portfolio or in new trades, conduct deep dive of the various basis risks, and ability to evaluate downside to relevant risk factors Maintain constant dialogues with trading desk on trading strategies, market development, and limit utilization.

Supplement risk reports with ad-hoc analysis as needed to communicate the relevant risk succinctly to management Fluency with SQL, R or SAS, MS Excel, VBA Excellent academic background, including advanced degree in a quantitative discipline, such as mathematics, sciences, economics, finance or engineering, or equivalent Strong experience in Market Risk or background with commodity products Strong problem-solving and implementation abilities Desire to learn and prosper in a highly dynamic environment The role involves working closely with several other areas such as Controllers, IT, Research, Model Risk and the Business Unit , therefore the candidate must be able to develop strong working relationships and be able to communicate clearly, both in writing and verbally.

Please indicate which languages you speak fluently on the application form OR second European language strongly preferred. Daily analysis of the market risk profile of the commodities trading businesses using tools such as VaR, Stressed VaR, Scenario Analysis, Liquidity Profile, Limit Utilization Real time monitoring of the risk positions against limits and keeping abreast of all the macro and commodity related market developments Perform independent analysis of embedded market risks in the traded portfolio or in new trades, conduct deep dive of the various basis risks, and ability to evaluate downside to relevant risk factors Maintain dialogue with trading desk on trading strategies, market development, and limit utilization.

Supplement risk reports with ad-hoc analysis as needed to communicate the relevant risk succinctly to management Fluency with SQL, R or SAS, MS Excel, VBA Excellent academic background, preferred advanced degree in a quantitative discipline, such as mathematics, sciences, economics, finance or engineering Previous experience in Market Risk or background with commodity products required Strong problem-solving and implementation abilities Desire to learn and prosper in a highly dynamic environment The role involves working closely with several other areas such as Controllers, IT, Research, Model Risk and the Business Unit , therefore the candidate must be able to develop strong working relationships and be able to communicate clearly, both in writing and verbally.

Moreover, the candidate will work closely with the Equities Market Risk Managers as a wider undertaking to broaden the candidates experience and integrate the groups Attention to detail, project management and prioritization skills will be key in balancing daily deadlines with timely implementation of strategic projects The highest level of personal integrity.

Experience in consultancy is a plus They will need to be an independent worker with a good working knowledge of at least two of the statistical packages, such as R, SAS, MATLAB or Phyton The consultant will be able to deliver to demanding deadlines, be a team worker and possess good communication skills, with the ability to communicate complex models and concepts to less technical personnel. Programming knowledge is a plus. Act as the lead person for the analysis and integrity of the risk sensitivities that measure the risks being taken by the trading desks in EMEA under the Commodities — Non-Energy business, liaising with the groups that produce the sensitivities including Risk Reporting, Product Control, and Operations, as necessary.

S natural gas, U. S power and oil products Experience in dealing with regulators and revenue divisions on market risk issues Comfortable explaining complicated risks in an intuitive way Team player and strong manager Comfortable in working in a fast paced environment. Managing a small group of employees and oversee the responses to testing and regulatory inquiries Engaging with Compliance, external examiners and Audit to provide information regarding the overall supervisory and control framework of FIC Engaging in an ongoing dialogue with Second and Third Lines of Defense regarding best practices Identification of process improvements both strategic and tactical.

Provide expertise and governance on the Basel 2. Will have superior technical knowledge of current programming languages, especially on. Create a book of work and roadmap covering strategic and day to day BAU issues Manage overall production environment Build and maintain a global team of strong technical talent Provide analysis support and delivery oversight to more junior members of the team Manage the global team deliveries London and Pune Support MSST development technology initiatives and ensure they are fully embedded in the team.

Projects related to the closure of any control gaps identified by the Commodities business Developing the governance framework for Commodities initiatives alongside Middle Office management and Technology The development of various automated reconciliations with the goal of reducing operational risk and increasing efficiency Strong Project management background Excellent communication skills; the ability to run senior level meetings Strong Powerpoint, Visio, and associated PM tools Strong background in the Commodities product space Experience with Openlink a plus.

Seeking an experienced analyst to assist the lead transactors in the origination, structuring, execution and ongoing maintenance of structured commodity transactions in oil and gas, renewable energy, and metals and mining, involving the following Strong Excel and cashflow modeling skills. Familiarity with J.

Morgan model and J. Day-to-day job responsibilities include application development, testing and support on the Commodity Exotic and Index trading applications These applications have been running from multiple global locations for around three years and provide trade capture, risk management, trade-lifecycling and reporting functionality The successful candidate will benefit from daily exposure to front-office and supporting areas Work items will include small and larger scale application enhancements and second-line support All team members are expected to contribute to and drive stability and efficiency improvements The team follow agile principles and ability to communicate effectively within IT and with non-IT stakeholders is vital Core C development experience preferably.

Experience with L3 Support activities Excellent problem solving skills Derivatives experience. Establish operational procedures and controls Oversee manual reconciliations and trade settlements Knowledge of derivative products futures, options and swaps of several asset classes interest rates, foreign exchange, equities and commodities Support all aspects of derivative post- trade life cycle Knowledge of Dodd Frank regulation and swap dealers requirements Customer Service Skills, provide customer support post-trade services including confirmations, settlements, fixings, payment statements, MTM statements, etc May perform other duties as requested Bachelor Degree in Business, Finance or Accounting Minimum of years experience with Middle Office derivative products, commodities preferred Proficiency with SUMMIT and MUREX systems preferred but not required Fluent in English and Spanish languages.

In-depth knowledge of CSTF products ,risk, mitigants,and customers In-depth knowledge of best practice CSTF operational delivery systems and processes Relevant experience in a similar role. FINRA Rule — Front Running Customer Orders Background in commodities trading or operations is strongly preferred Project Management experience is a plus Previous experience in equity or fixed income trade surveillance or compliance is a plus. Leading by example, the incumbent will establish framework policies and guidance for practitioners as well as ensure all appropriate procedures and policies are applied The role holder will be expected to be of sufficient caliber and have appropriate authority to take credit risk decisions within Group Risk sanctioned parameters and to drive through necessary change In-depth knowledge of CSTF risk, mitigants, products and customers In-depth knowledge of best practice CSTF credit systems and processes Strong understanding of the marketplace and issues likely to impact on effective risk management Minimum 5 years in a similar role Basic Credit analysis Structured Finance risk analysis understanding of mitigants, hedging, derivatives.

A successful candidate will be able to manage several Commodities product valuations to ensure compliance with FAS , fair value accounting policy and valuation Challenging existing processes and procedures to improve the quality and efficiency of the mark review and to Strong academics required in a quantitative discipline such as economics, mathematics, physics, engineering or other.

Manage client profitability via oversight of client pricing and cost management e. Ad-hoc projects to develop the control infrastructure and facilitate business growth Excellent interpersonal skills Strong communication skills - written and oral. Able to explore new systems and can adapt quickly to new processes.

Prefered but not essential Ability to learn system processes quickly and suggest improvements to obtain operational efficiency Proactive mindset, with a drive to get improvements implemented Ability to identify gaps in controls and provide solutions to bridge those gaps Ability to work with IT to provide detailed specifications for requested enhancements Microsoft Office experience specifically Word and Excel Interacts well with other stakeholders.

Support and actively manage business development and structured deal pipeline, including coordinating required due diligence and related return analysis Coordinate with desk heads, legal, compliance and BCO on implementing regulatory and control related projects Ability to effectively partner with and influence a broad range of groups Technical analysis skills and data manipulation — must know Excel formulas, pivot tables, etc.

Able to communicate and present effectively to seniors across the organisation. Must also be persuasive with a considerate but firm touch Hands-on. Must have a good eye for detail, but also be able to step back and see the bigger strategic picture Preferably educated to degree level. City College. BS Finance - A good student. Patrick High. High School - Commodity Promotion.

We worked on a commodity promotion campaign and even re-designed marketing strategies to increase client base. Technical Skills. Customer Relations 1dsfsdgsdg. Personal Skills. Goal Oriented. English US. Date of Birth. Marital Status. Driving License.

NEWHOPE MIDDLE HOMEWORK

I wish to take my own trading company to the top through hard work and experience. Work Experience. Desmond Trading. Lawrence Investors. Agri Development Trades Ltd. Warren Investors. Commodity Tester Jan to Mar 2 Months. City College. BS Finance - A good student. Patrick High. High School - Commodity Promotion. We worked on a commodity promotion campaign and even re-designed marketing strategies to increase client base.

Technical Skills. Some travel may be required. Risk Management: A minimum of 2 years of prior work experience and demonstrated risk management aptitude in a major global investment banking institution. Act as local NAM market risk representation of global commodity market risk management Report to the Global Head of Commodity Market Risk and be accountable for all day-to-day activities for the North American Oil Desks and provide support to various regulatory initiatives including Fed CCAR stress tests, Volcker regulation etc Evaluate the appropriateness of the risk profile and influence changes where necessary, working with Risk Reporting and Risk Analytics and IT Support in improving current reports and metrics Drive enhancements and efficiency in the risk framework and process by working closely with our partners in Technology, Risk Control, Risk Analytics and Model Validation Own specific regulatory-driven projects that could span across businesses outside of immediate coverage Position reports to the Global Head of Commodity Market Risk.

Work with various risk managers to validate the stress testing results prior to submission to the relevant regulator Coordinate monthly Volcker reporting requirements and validate monthly results prior to submission to various regulators Provide support for the risk management of Swap Dealer entity including daily monitoring of risk, preparation of swap dealer reports for the governing body and regulatory submissions for the CFTC Coordinate with Risk control and risk reporting to ensure data quality of the downstream risk feeds.

Facilitation of efficient risk-return decisions The analysis and integrity of the risk sensitivities that measure the risks being taken by the trading desks, liaising with the groups that produce the sensitivities including Risk Reporting, Product Control, and Operations, as necessary.

Together with the rest Athena community in the region, define the support procedures for Athena that will be shared by different teams and LOB, reuse tools and build support tools where applicable Problem and incident management Incident review Trend analysis Providing technical assistance and coordination during production incidents.

Demonstrate strong organizational skills with keen attention to detail Confirm correct settlement prices and ensure trading systems are updated with correct pricing curves Identify, analyze and ensure resolutions to cash fail receivables and trial balances Work closely on complex settlements with internal and external key stakeholders Perform key settlement functions by creating payment vouchers and receivable invoices on a daily basis Process early closeouts and novation of trades as required Effective analytical and problem solving skills This is a highly intensively trading environment with opportunities to work closely with various groups.

Producing commentary and required substantiation documentation Bachelors degree in Accounting, Economics or Finance years of experience Ability to handle multiple tasks in a fast-paced deadline environment Strong analytical and technical skills. Experience in consultancy is a plus They will need to be an independent worker with a good working knowledge of at least two of the statistical packages, such as R, SAS, MATLAB or Python The consultant will be able to deliver to demanding deadlines, be a team worker and possess good communication skills, with the ability to communicate complex models and concepts to less technical personnel.

Daily production of P and Ls and communication of results to the Desk. Management responsibility, although this may not be in the early stage of the role Good understanding of Investment Banking Good knowledge of Commodity Products Ability to interpret financial information Ability to negotiate and strong people skills Ability to put knowledge of financial principle into P and L and Profit Attribution analysis Able to perform effectively within a time pressurised environment Working knowledge of Allocated and Unallocated PM trading and experience reconciling metals inventory balances Strong PC skills in Excel, Word, and Access.

Stays informed of current business, economic and regulatory developments relevant to our clients A bachelor's degree and approximately years manager of related work experience Strong communication, presentation, client service and technical writing skills. Conduct equity research in Commodities sector i. These may be company specific or relate to various macroeconomic themes being explored At least 5 years of buy or sell side equity research experience in Commodities sector High degree of comfort with financial statements and ability to conduct specific and detailed analysis as directed Strong ability to convey investment ideas Good listener with communication skills.

Essential qualification: Graduation in Commerce, specialization in Financial Accounting Preferred 1 — 3 years financial experience Capital Market related experience an advantage Excellent organizational, communication and relationship management skill.

Developing strategic, stable and resilient solutions Working closely with key stakeholders in front office, quantitative analysis, and market risk Collaborating with other commodities technology teams and more widely across markets technology Applying industry best practice for continuous integration, automated testing and deployment Proven expertise in development of trading tools on quantitative analytic libraries Strong technical background in C ,.

Net, WPF, grid computing and messaging Very strong understanding of commodities derivatives pricing. Experience in commodities products implementation across multiple product classes such as Oil, Metals, Gas and Power etc Very strong understanding of commodities derivatives pricing Proven expertise in Openlink risk and pnl design and reporting Deep knowledge in lifecycle management across markets and products in Openlink Experience managing developers and business analysts in a fast-paced trading environment.

A strong comprehensive understanding of the Commodities and Commodity Trading industries Minimum Bachelor's degree in Accounting, Finance, or related discipline At least years of experience in a financial services firm or in public accounting, with an appropriate level of exposure to risk management Good understanding of internal control concepts Ability to run audits, manage projects and participate in audit assignments in a team environment Strong communication, interpersonal and analytical skills Enthusiastic, self-motivated, effective under pressure and willing to take personal risk.

Efficiently and accurately verify the settlement calculations for structured Electricity and Natural Gas settlements Timely resolution of settlement disputes Identify, analyze, and ensure resolutions to cash fail receivables and trial balances Confirm accurate trade representation in risk Provide Operational support for New Product Approval in Commodities Address ad-hoc requests from Clients, Traders, Origination, Legal, Credit, IT and Controllers Ability to Multitask.

Supporting as analyst to Portfolio Manager Supporting in trading and research - primarily of crude oil and agriculture Using a variety of valuation tools and methodologies to create fair value opinions years work experience within crude oil or agriculture sector. Lead and participate in multiple engagement teams within Financial Accounting Advisory Services Collaborate with the senior manager, partner and client to determine a strategy that appropriately addresses risk and manages client expectations relating to deliverables Ensure work is delivered timely and in compliance with regulatory requirements A bachelor's degree with approximately five years of related work experience or a graduate degree with approximately four years of related work experience Approximately five years of experience working as an auditor for a public accounting firm with some experience serving financial services clients; will consider candidates with four years of experience with an advanced degree Deep experience serving clients on compl x financial accounting matters in the banking and capital markets, insurance and asset management industries.

Coordinate domestic and international travel arrangements. Experience in consultancy is a plus The consultant will be able to deliver to demanding deadlines, be a team worker and possess good communication skills, with the ability to communicate complex models and concepts to less technical personnel.

Daily analysis of the market risk profile of the commodities trading businesses using tools such as VaR, Stressed VaR, Scenario Analysis, Liquidity Profile, Limit utilization Real time monitoring of the risk positions against limits and keeping abreast of all the macro and commodity related market developments Perform independent analysis of embedded market risks in the traded portfolio or in new trades, conduct deep dive of the various basis risks, and ability to evaluate downside to relevant risk factors Maintain constant dialogues with trading desk on trading strategies, market development, and limit utilization.

Supplement risk reports with ad-hoc analysis as needed to communicate the relevant risk succinctly to management Fluency with SQL, R or SAS, MS Excel, VBA Excellent academic background, including advanced degree in a quantitative discipline, such as mathematics, sciences, economics, finance or engineering, or equivalent Strong experience in Market Risk or background with commodity products Strong problem-solving and implementation abilities Desire to learn and prosper in a highly dynamic environment The role involves working closely with several other areas such as Controllers, IT, Research, Model Risk and the Business Unit , therefore the candidate must be able to develop strong working relationships and be able to communicate clearly, both in writing and verbally.

Please indicate which languages you speak fluently on the application form OR second European language strongly preferred. Daily analysis of the market risk profile of the commodities trading businesses using tools such as VaR, Stressed VaR, Scenario Analysis, Liquidity Profile, Limit Utilization Real time monitoring of the risk positions against limits and keeping abreast of all the macro and commodity related market developments Perform independent analysis of embedded market risks in the traded portfolio or in new trades, conduct deep dive of the various basis risks, and ability to evaluate downside to relevant risk factors Maintain dialogue with trading desk on trading strategies, market development, and limit utilization.

Supplement risk reports with ad-hoc analysis as needed to communicate the relevant risk succinctly to management Fluency with SQL, R or SAS, MS Excel, VBA Excellent academic background, preferred advanced degree in a quantitative discipline, such as mathematics, sciences, economics, finance or engineering Previous experience in Market Risk or background with commodity products required Strong problem-solving and implementation abilities Desire to learn and prosper in a highly dynamic environment The role involves working closely with several other areas such as Controllers, IT, Research, Model Risk and the Business Unit , therefore the candidate must be able to develop strong working relationships and be able to communicate clearly, both in writing and verbally.

Moreover, the candidate will work closely with the Equities Market Risk Managers as a wider undertaking to broaden the candidates experience and integrate the groups Attention to detail, project management and prioritization skills will be key in balancing daily deadlines with timely implementation of strategic projects The highest level of personal integrity. Experience in consultancy is a plus They will need to be an independent worker with a good working knowledge of at least two of the statistical packages, such as R, SAS, MATLAB or Phyton The consultant will be able to deliver to demanding deadlines, be a team worker and possess good communication skills, with the ability to communicate complex models and concepts to less technical personnel.

Programming knowledge is a plus. Act as the lead person for the analysis and integrity of the risk sensitivities that measure the risks being taken by the trading desks in EMEA under the Commodities — Non-Energy business, liaising with the groups that produce the sensitivities including Risk Reporting, Product Control, and Operations, as necessary.

S natural gas, U. S power and oil products Experience in dealing with regulators and revenue divisions on market risk issues Comfortable explaining complicated risks in an intuitive way Team player and strong manager Comfortable in working in a fast paced environment.

Managing a small group of employees and oversee the responses to testing and regulatory inquiries Engaging with Compliance, external examiners and Audit to provide information regarding the overall supervisory and control framework of FIC Engaging in an ongoing dialogue with Second and Third Lines of Defense regarding best practices Identification of process improvements both strategic and tactical. Provide expertise and governance on the Basel 2. Will have superior technical knowledge of current programming languages, especially on.

Create a book of work and roadmap covering strategic and day to day BAU issues Manage overall production environment Build and maintain a global team of strong technical talent Provide analysis support and delivery oversight to more junior members of the team Manage the global team deliveries London and Pune Support MSST development technology initiatives and ensure they are fully embedded in the team.

Projects related to the closure of any control gaps identified by the Commodities business Developing the governance framework for Commodities initiatives alongside Middle Office management and Technology The development of various automated reconciliations with the goal of reducing operational risk and increasing efficiency Strong Project management background Excellent communication skills; the ability to run senior level meetings Strong Powerpoint, Visio, and associated PM tools Strong background in the Commodities product space Experience with Openlink a plus.

Seeking an experienced analyst to assist the lead transactors in the origination, structuring, execution and ongoing maintenance of structured commodity transactions in oil and gas, renewable energy, and metals and mining, involving the following Strong Excel and cashflow modeling skills. Familiarity with J. Morgan model and J. Day-to-day job responsibilities include application development, testing and support on the Commodity Exotic and Index trading applications These applications have been running from multiple global locations for around three years and provide trade capture, risk management, trade-lifecycling and reporting functionality The successful candidate will benefit from daily exposure to front-office and supporting areas Work items will include small and larger scale application enhancements and second-line support All team members are expected to contribute to and drive stability and efficiency improvements The team follow agile principles and ability to communicate effectively within IT and with non-IT stakeholders is vital Core C development experience preferably.

Experience with L3 Support activities Excellent problem solving skills Derivatives experience. Establish operational procedures and controls Oversee manual reconciliations and trade settlements Knowledge of derivative products futures, options and swaps of several asset classes interest rates, foreign exchange, equities and commodities Support all aspects of derivative post- trade life cycle Knowledge of Dodd Frank regulation and swap dealers requirements Customer Service Skills, provide customer support post-trade services including confirmations, settlements, fixings, payment statements, MTM statements, etc May perform other duties as requested Bachelor Degree in Business, Finance or Accounting Minimum of years experience with Middle Office derivative products, commodities preferred Proficiency with SUMMIT and MUREX systems preferred but not required Fluent in English and Spanish languages.

In-depth knowledge of CSTF products ,risk, mitigants,and customers In-depth knowledge of best practice CSTF operational delivery systems and processes Relevant experience in a similar role. FINRA Rule — Front Running Customer Orders Background in commodities trading or operations is strongly preferred Project Management experience is a plus Previous experience in equity or fixed income trade surveillance or compliance is a plus.

Leading by example, the incumbent will establish framework policies and guidance for practitioners as well as ensure all appropriate procedures and policies are applied The role holder will be expected to be of sufficient caliber and have appropriate authority to take credit risk decisions within Group Risk sanctioned parameters and to drive through necessary change In-depth knowledge of CSTF risk, mitigants, products and customers In-depth knowledge of best practice CSTF credit systems and processes Strong understanding of the marketplace and issues likely to impact on effective risk management Minimum 5 years in a similar role Basic Credit analysis Structured Finance risk analysis understanding of mitigants, hedging, derivatives.

A successful candidate will be able to manage several Commodities product valuations to ensure compliance with FAS , fair value accounting policy and valuation Challenging existing processes and procedures to improve the quality and efficiency of the mark review and to Strong academics required in a quantitative discipline such as economics, mathematics, physics, engineering or other.

Manage client profitability via oversight of client pricing and cost management e. Ad-hoc projects to develop the control infrastructure and facilitate business growth Excellent interpersonal skills Strong communication skills - written and oral. Able to explore new systems and can adapt quickly to new processes. Prefered but not essential Ability to learn system processes quickly and suggest improvements to obtain operational efficiency Proactive mindset, with a drive to get improvements implemented Ability to identify gaps in controls and provide solutions to bridge those gaps Ability to work with IT to provide detailed specifications for requested enhancements Microsoft Office experience specifically Word and Excel Interacts well with other stakeholders.

Support and actively manage business development and structured deal pipeline, including coordinating required due diligence and related return analysis Coordinate with desk heads, legal, compliance and BCO on implementing regulatory and control related projects Ability to effectively partner with and influence a broad range of groups Technical analysis skills and data manipulation — must know Excel formulas, pivot tables, etc.

Able to communicate and present effectively to seniors across the organisation. Must also be persuasive with a considerate but firm touch Hands-on. Must have a good eye for detail, but also be able to step back and see the bigger strategic picture Preferably educated to degree level. Exceptional candidates who do not meet these criteria may be considered for the role provided they have the necessary skills and experience. Applications must include a covering letter and concise resume as well as academic transcripts; applications without covering letters will be not considered Fluent in Mandarin reading, writing and spoken Demonstrate a high level of academic achievement in Finance, Commerce, Economics, Mathematics or Engineering discipline; Advanced Excel will be assumed Show a high level of numerical aptitude along with strong verbal and written communication skills If you have knowledge of the Commodities markets or perhaps completed an internship in a business like this, then this will be highly regarded You need to be detailed, methodical and accurate in your work approach as well as flexible and pro-active; and Enjoy busy work environments; able to show you can prioritise and plan your working day.

It is your responsibility to ensure compliance with operational risk requirements e. Contribute to the development of new UI screens according to trader specifications as well as extend and improve the existing functionality Work with the quants and traders on implementing option pricing and implied volatility calculations and develop functionality in the UI to display the data in a consolidated manner Examination of existing trader spreadsheets to understand data publishing logic, and then translation of this logic to a functional technology solution Working closely with key stakeholders in front office, quantitative analysis, and market risk to define and develop strategic, stable and resilient solutions Collaborating with other global Commodities technology teams and more widely across markets technology Developing and maintaining very strong relationships with Front Office stakeholders Rx and Multithreading WPF, MVVM and UI Design Dependency Injection Messaging middlewhare e.

Knowledge of commodity future — physical markets and associated terminology is preferred High self-confidence level, high motivation and the ability to challenge and be challenged on data generated Strong data processing skills and follow through skills SAP knowledge essential Intimate knowledge of Microsoft Office Excel, Word, PowerPoint.

Security analysis and risk management principals Security planning and compliance requirements Assessing the quality, comparability, and utility of different datasets. Able to lead both with and without formal authority in a matrixed organization Strong reasoning and cognitive skills, including decision-making, conflict resolution and leadership competencies Self-motivated with the ability to work independently and in a team environment.

Progress towards a bachelor's degree in agribusiness or related field. Candidates must have completed at least 2 years of college and have a GPA of at least 3. Must successfully demonstrate the desire to share ideas, be cooperative, and express a positive and supportive attitude.

Providing insightful review of key controls on P and L and Balance Sheet, by working closely with our offshore team in Budapest Support the London Product Control managers on key deliverables and desk communication re daily, monthly and quarterly control requirements Help to drive efficiencies by eliminating bottlenecks or weak processes by raising incident tickets to identify and resolve the issues Monitoring trends for input into the Management Control Metrics used by Senior Finance Management to evaluate the control environment in which the team operates.

Ensuring that data in new and existing datasets is described according to standards and enables data usage and search Communicating and liaising with internal stakeholders for delivering complex projects, resolving customer queries, including direct contact with customers Participating in data quality check projects, ensuring that meta catalogues are up to date, fit for purpose and used by stakeholders as relevant, and data is properly referenced, using these standard rules and approaches.

A minimum of a Bachelor's degree or equivalent experience is required for this position; an additional Master's level coursework is preferred Experience of 7 years is required for this position, assuming education requirements are met Equivalent industry experience of 10 or more years is highly desirable ISM C.

Confident and assertive in character. Negotiate cost of raw materials and cost inputs based on commodity market analysis and economies of scale. Manage the procurement process by creating and maintaining strategies for Contract Manufacturing Modeling.

Formulate the decision-making process for commodity risk management. Execute and implement strategic timing to take long-term vs.

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This section, however, is not just a list of your previous commodity buyer responsibilities. It's meant to present you as a wholesome candidate by showcasing your relevant accomplishments and should be tailored specifically to the particular commodity buyer position you're applying to.

The work experience section should be the detailed summary of your latest 3 or 4 positions. Make sure to make education a priority on your commodity buyer resume. For example, if you have a Ph. D in Neuroscience and a Master's in the same sphere, just list your Ph. When listing skills on your commodity buyer resume, remember always to be honest about your level of ability. Include the Skills section after experience. Present the most important skills in your resume, there's a list of typical commodity buyer skills: Communicate simply and effectively at all levels within the region.

Good presentation skills Good negotiation techniques with demonstrated interpersonal and relationship building skills Effectively multi-task. Microsoft office experience. Good relationship management and people skills. Resume Resume Examples Resume Builder. Create a Resume in Minutes. Jacquelyn Frami. Senior Commodity Buyer. Commodity Buyer. Junior Commodity Buyer. Strayer University - Thousand Oaks Campus.

Create a Commodity Buyer Resume. To write great resume for commodity buyer job, your resume must include: Your contact information Work experience Education Skill listing. Education on a Commodity Buyer Resume. Professional Skills in Commodity Buyer Resume. Leverage company assets to increase margin profitability. Hedging and trading of a company's book and risk management. Revise and consistently improve overall pricing strategies for the different portfolios and pricing channels.

Identify, develop, and manage strong relationships with customers and suppliers. Review project documents plans, schedules, specifications, and construction drawings AutoCAD. Commodity Trader Resume Objective : Seeks to be a contributing team member where abilities and experience can be a significant factor in helping achieve and exceed goals. Trading a wide portfolio of commodities, predominantly crude oil, gas, metals, agricultural. Using and performing market analysis to implement appropriate trading strategies Independent analyses, trade execution, trade management.

Demonstrated consistent monthly trading returns. Description : Traded conventional and organic corn, soybeans, and wheat Developed poultry - layers and dairy direct business. Handled all logistics in trades. Played a key role in identifying arbitrage opportunities between commodity markets for the firm. Commodity Trader Resume Objective : Seeks to apply extensive international experience, multi-lingual abilities, and desire to learn and experience new opportunities.

Skills : Microsoft Office. Description : Create market liquidity by providing brokers with bids and offers to fill customer orders. Focused on coal origination, and sales into Credit approved clients. Structuring and brokering third-party trading, i. Proving robust support from coal mines or large traders to bidders for large tenders. Supporting the development of CFR indices. Bought and sold in the cash commodities market.

Commodity Trader Resume Objective : Full-time Warehouse Supervisor Position utilizing skills and knowledge of inventory management and profitability in the beverage industry. Description : Responsible for the merchandising of physical commodities at the highest margin. Established new accounts and increased export sales volume for multi-million dollar operations.

Providing quality products and services to peanut product manufacturers worldwide. Contract negotiations with national and international kernel growers were also part of responsibilities in specific market acquisition projects. Traded and filled customer orders in various pits on the trading floor. Commodity Trader Resume Headline : Seeks to acquire a position that will enable utilizing knowledge, education, and experience. Description : Developed profitable technical trading and risk management techniques.

Independent trader in equity, bond, and commodities markets. Making cold calls, establishing relationships with customers as well as potential customers, negotiating prices, closing sales, etc. Managed hedge positions, and oversaw barge logistics for the product. Maintained and developed customer relationships by providing market knowledge and advice.

Commodity Trader Resume Headline : Looking to acquire a position that will enable utilizing knowledge, education, and experience. Description : Procure soybeans and canola for 2 of ADM's largest oilseed processing facilities. Responsible for all hedging and reconciliation of daily position reports.

Sabbatical on investment strategies and portfolio administration. Purchased and sold grain in the cash commodities market. Maintained and developed customers.