





Strong Trafigura brand and Mumbai location increase competition, but niche senior credit-risk specialization reduces applicant pool.
Requires specialized credit-risk and derivatives experience in trading environments, limiting cross-industry transferability.
Explicit 8-12 years, required credit-risk trading experience, and financial modeling make shortlisting highly selective.
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Review and approve credit risk for complex transactions in European Gas & Power, focusing on credit limit and rating assessments.
Manage a portfolio of clients, evaluate derivative transactions, oversee exposure and overdue tracking, negotiate documentation with clients and internal teams.
Support credit exposure data management, monitoring, and reporting activities, including engagement with risk mitigation providers like banks and insurance markets.
8-12 years experience in credit risk roles within a blue-chip bank, trading house, or financial institution.
Qualifications: MBA (renowned institution) or CA (First Attempt Pass) or CFA (all levels cleared, first attempt) or FRM.
Proficiency in Excel, PowerPoint, Word/Outlook; skills in SQL, Python, Power BI and tools like S&P Capital IQ, Bloomberg are advantageous.
Experience handling mid and large corporate clients.
Experienced in credit risk with strong ability to analyze financials including cash flow models and stress testing.
Capable of managing credit risk in a complex, multi-product trading environment with attention to detail.
Effective communicator, able to negotiate with clients and present clear credit recommendations and reports.