Company Description At Aikyam Capital, we bridge the gap between global ambition and Indian opportunity by providing seamless, end-to-end solutions for local and global investors. Headquartered in Mumbai with a presence in GIFT City, our team offers expertise in fund structuring, investment banking, stressed asset management, and institutional broking & clearing. We partner with institutional clients, foreign investors, family offices, NRIs, corporate promoters, and asset managers to navigate India's regulatory landscape efficiently. Our mission is to provide compliant, regulator-approved pathways into India’s growth story. Role Description This is a full-time, on-site role for a Commodities Risk Manager located in Mumbai. The Commodities Risk Manager will be responsible for assessing and managing risks associated with the commodities trading activities. Daily tasks include monitoring market conditions, analyzing risk exposures, developing risk mitigation strategies, ensuring compliance with regulatory requirements, and providing detailed reports and insights to guide trading and investment decisions. Qualifications Experience in risk management, particularly within the commodities sector Ability to analyze market conditions and identify potential risks and opportunities Strong understanding of regulatory requirements and compliance standards Proficient in risk assessment tools and trading platforms Excellent analytical and problem-solving skills Bachelor's degree in Finance, Economics, or a related field Effective communication and report-writing skills Experience working in a fast-paced, high-pressure environment
You will be working as a Commodities Risk Manager at Aikyam Capital in Mumbai. Your role involves assessing and managing risks associated with commodities trading activities. Your responsibilities include monitoring market conditions, analyzing risk exposures, developing risk mitigation strategies, ensuring compliance with regulatory requirements, and providing detailed reports and insights to guide trading and investment decisions. **Key Responsibilities:** - Assess and manage risks associated with commodities trading activities - Monitor market conditions and analyze risk exposures - Develop risk mitigation strategies - Ensure compliance with regulatory requirements - Provide detailed reports and insights to guide trading and investment decisions **Qualifications Required:** - Experience in risk management, particularly within the commodities sector - Ability to analyze market conditions and identify potential risks and opportunities - Strong understanding of regulatory requirements and compliance standards - Proficient in risk assessment tools and trading platforms - Excellent analytical and problem-solving skills - Bachelor's degree in Finance, Economics, or a related field - Effective communication and report-writing skills - Experience working in a fast-paced, high-pressure environment,