Monday, October 27, 2025

Job Description

Company Overview:GasCo is Singapore’s trusted energy enabler, committed to ensuring a secure, stable, and competitively priced gas supply to meet the nation's electricity needs. Established under the Energy Market Authority's initiative to centralise gas procurement, GasCo plays a vital role in safeguarding national energy security and supporting Singapore's economic continuity.We are looking for a dynamic and agile Risk Manager to join our growing team.Position Overview:The Risk Manager will support GasCo’s trading and risk management activities by ensuring accurate trade capture, daily P&L reporting, and reconciliation between trading and accounting results. The role will lead the development and governance of forward price curves and valuation methodologies, while acting as a key stakeholder in ETRM system selection, setup, and ongoing configuration. In addition, the Risk Manager will monitor risk limits, produce risk reports, and help design risk monitoring frameworks. Success requires a detail-oriented, analytical professional who thrives in a fast-paced energy market and can partner effectively with Front Office, Finance, and IT.Job Responsibilities:Product Control & ValuationProduce, validate, and explain daily P&L and month-end resultsPerform P&L attribution (price, volume, basis, FX) and provide daily commentary to management and Front OfficeCoordinate month-end close (cut-offs, accruals/deferrals, reserves)Own forward curve construction and methodologyMaintain basis curves (locations/grades), FX curves, discount curves, and calendarsReconcile trading P&L to general ledger (MTM, realised/unrealised, fees, FX)Align hedge designations and documentation with Finance for hedge accounting where applicableRisk Management & ReportingMonitor and report risk limits (position, tenor buckets, VaR, concentration, liquidity/basis)Design and produce risk dashboards: limit utilisation, stress scenarios, back-testing commentary, and exception reporting and escalationETRM Selection, Setup & OwnershipServe as the Product Control/Risk Subject Matter Expert (SME) in ETRM RFP, vendor selection, and implementationDefine and test valuation configuration (pricing models, day-count conventions, settlement calendars, UOM conversions) and risk parameterizationLead UAT for deal capture, pricing, P&L, risk reports, and end-to-end data flows; document SOPs and control pointsJob Requirements: Bachelor's degree in Business, Finance, Economics, or related fieldMinimally 6 years of relevant experience in market risk or product control, preferably within energy trading or commoditiesStrong knowledge of risk metrics, commodities product control, P&L attribution, valuation and curve construction methodologiesStrong analytical, problem-solving, and project management skillsAgile, adaptable, and able to work effectively in a dynamic and fast-paced environmentHands-on experience with ETRM systems. Setup/implementation experience will be highly advantageous

Job Application Tips

  • Tailor your resume to highlight relevant experience for this position
  • Write a compelling cover letter that addresses the specific requirements
  • Research the company culture and values before applying
  • Prepare examples of your work that demonstrate your skills
  • Follow up on your application after a reasonable time period

Related Jobs