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Credit Manager / Senior Credit Manager (APAC & MENA)

Our client is a prominent global trading and logistics corporation specializing in energy products, petrochemicals, and maritime fuel solutions.

Key Responsibilities

  • Lead end-to-end credit evaluations for global trading counterparties and exercise direct approval authority for corporate credit limits.
  • Formulate sophisticated risk mitigation strategies, leverage proactive market intelligence, and swiftly deactivate high-risk accounts.
  • Serve as the final escalation point for complex credit situations and provide strategic guidance to the regional analyst team.
  • Architect and deploy advanced risk reporting frameworks, predictive analytical tools, and customized credit infrastructure from scratch.
  • Drive macro portfolio stress-testing, deep-dive sector reviews, and executive-level risk presentations for senior management.

Requirements & Qualifications

  • Bachelor's or Master's degree in Finance, Accounting, Economics, or a related quantitative discipline.
  • Minimum of 5 years of heavyweight credit risk assessment and portfolio management experience within commodity trading, marine fuels, or corporate banking.
  • Expert financial analysis capabilities with a proven track record of handling complex multi-million dollar counterparty exposures.
  • Professional fluency in English is mandatory; proficiency in Mandarin and Cantonese is highly valued for regional client management.
  • Deep, specialized knowledge of the marine bunker, maritime shipping, or global oil and gas markets is strongly preferred.
  • Decisive problem-solving acumen, cross-border leadership agility, and the stamina to thrive across multiple global time zones.

Interested parties, please send the CV to "Apply For Position"/ cv@aral.com.hk.

***Personal data collected will be used for recruitment purposes only***

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