Your responsibilities will include:
Analysing trading positions and monitor exposure to market price movements across commodity portfoliosReconciling and explaining daily P&L movements, investigating discrepancies with trading teams and stakeholdersMonitoring risk exposures, trading limits, and delegated authorities to ensure strong control frameworksDeveloping reporting tools, analytics, and process improvements to enhance business insight and operational efficiencySupporting system enhancements, testing, and collaboration across risk, finance, accounting, and commercial teams You will need to have the following experience:
Minimum 2 years’ experience within risk, product control, commodities, energy, or financial marketsUnderstanding of derivatives products such as futures and swapsStrong analytical mindset with excellent attention to detail and problem-solving skills<...