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SD GUTHRIE BERHAD
About Us
SD Guthrie Berhad (SD Guthrie) is one of the world's leading producers of Certified Sustainable Palm Oil (CSPO), representing approximately 12% of the global market share (as of 31 December 2022). With over 84,000 employees across 12 countries, we pride ourselves on innovation, sustainability, and excellence. Our operations span the entire palm oil value chain, and we are expanding into new business verticals such as green industrial parks and renewable energy. We offer enriching career opportunities supported by cutting-edge technology and a commitment to sustainability. We are the world's first palm oil company to have our net-zero GHG emissions reduction targets approved by the Science Based Targets initiative (SBTi).
Join us today, as we continue to Unlock Nature's Superpowers!
Roles & Responsibilities
1. Trade Booking & Validation
Ensure accurate and timely booking of trades across:
o Exchange-traded commodity options and futures (CME, ICE, BMD, DCE, LIFFE, ZCE)
o OTC exotic options and structured products
o FX, commodities, and proprietary trades
Cross-check booking inputs with trading blotters, pricing sheets, and front-office systems
Validate Greeks, notionals, payoffs, counterparties, and trade structures
2. Reconciliation & Exception Management
Perform daily trade reconciliations across:
o Internal systems vs broker/exchange confirms
o Front-office risk and P&L tools vs official books
Investigate and resolve trade breaks, mismatches, and discrepancies
Liaise with brokers, exchanges, and clearing houses for confirmation and settlement resolution
3. Settlement & Lifecycle Management
Coordinate and monitor settlement of derivatives and structured products
Track trade lifecycle events:
o Fixings, knock-ins/outs, expiries, barrier observations, redemption schedules
Ensure accurate calculation and settlement of cashflows and premiums
4. Margin & Risk Operations
Monitor and escalate margin requirements:
o Exchange and clearing house margin
o Collateral calls and threshold alerts
Coordinate with Treasury and Risk to ensure adequate funding and liquidity
Track collateral movements and eligibility across instruments and clearing venues
5. Operational Controls & Reporting
Maintain clean audit trails and support regulatory, compliance, and audit queries
Assist in generation and review of:
o Daily P&L validation
o Position reports, expiry schedules, and exposure summaries
Participate in regular trade review meetings and end-of-day checks
Automate reconciliation and reporting processes
Ideal Candidate
Why Join Us
Only shortlisted candidates will be contacted.
Discover more opportunities with us here!
Job ID: 137898751