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Long- Established and Highly Respected Energy house is actively looking for a proactive commoditites market risk manager.This company develops energy infrastructure, operate utilities, and provide related products and services to more than 29 million consumers worldwide
Responsibilities:
Market Risk Analyst focusing on Power and Energy.
• review of market news and movement • review of positions taken and changes to the positions • communication with risk takers • Communication to senior business and risk management staff • Monitor global limits and take action when necessary • Assist with production of appropriate risk & stress test data • Analyse risks taken by the business
Positions, Sensitivities & VaR figures
Requirements:
• A strong mathematical background is essential. degree in a quantitative discipline (Master in Quantitative Finance or a Science PhD) is desirable.
• A minimum of 4 years experience in a risk management or closely related function working with commodities.
• Product knowledge/skills in power and energy
• Excellent verbal and written communication skills – The successful candidate will be working closely with traders, middle office, legal, risk and IT departments on all aspects of the firm.
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