Responsibilities:
- Assess credit for structured trade and commodity finance transactions, focusing on risk identification and mitigation.
- Enhance portfolio and risk management systems using programming languages like Python and databases such as SQL/MongoDB.
- Collaborate with a team on planning to scale their trade finance capital.
Qualification:
- 2–4 years of experience in trade or commodity finance risk, ideally in banking or hedge funds.
- Strong skills in credit modelling, portfolio optimisation, and technical tools like Python and SQL/MongoDB.
- A proactive, adaptable approach with a commitment to thrive in an entrepreneurial setting.
What We Offer:
- Fully remote work with a global reach across the UK, Europe, the Middle East, and the Caribbean.
- Opportunities to explore blockchain applications in trade finance while gaining exposure to diverse investment portfolios.
- A supportive and collaborative team environment emphasising growth and impact.
If you are interested in finding out more, please apply or get in touch with Tim at Marlin Selection.