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Job Title


Mandarin Chinese Risk and TREASURY MANAGER


Company : ABL Recruitment


Location : slough, south east england


Created : 2025-07-23


Job Type : Full Time


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 basedLanguage required: Fluent Mandarin Location: LondonCompany 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 strategiesMonitor 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 issuesLook 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 REQUIREMENTSDegree 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