Exciting opportunity for a Market Risk Operations Analyst to join this global Energy company.
This is an exciting time to join this world-leading Energy company as it evolves from a traditional Oil & Gas enterprise into a future-focused Energy leader.
This transformation includes the establishment of a highly successful new Power Trading desk within the Energy Trading team and ventures into cutting-edge solutions that address the evolving demands of the Energy sector.
These initiatives include advanced Gas infrastructure, LNG technology, effective Energy Storage systems and Green Energy solutions.
These innovations create opportunities for exceptionally talented individuals to contribute to the success of this evolution, working alongside some of the industry's top professionals and leveraging the very latest technology.
Location: Hybrid 3 days in London office per week
Contract Duration: 12 months with a strong potential for permanent role after
Typically
- Ensures the smooth running of daily risk reporting activities on the appropiate applications and the various tools dependent on them.
- Maintains observable valuation inputs eg, exchange prices, broker quotes, derivable volatilities and correlations to risk calculations.
- Analyses mark-to-market curves price movements to ensure trading systems are correct.
- Works on liquidity reserve calculations and ensure that is correctly communicated to the desk.
- Delivers regular and ad hoc risk metrics and portfolio analytics for the commercial teams, risk management teams and various other stakeholders.
- Works under close supervision of Manager/Team Lead for all activities.
- Delivers the works as assigned, applying the work procedures, frameworks.
- Work is reviewed by more senior colleagues.
- Identifies shortcomings in current processes, systems and procedures within the assigned unit and suggests improvements.
- Analyses, proposes and (where possible) implements alternatives.
- Impacts the quality of parts of reports by delivering high quality analysis.
- Provides indirect advice which is further synthesized by senior colleagues.
Technical Skills/Business Domain Expertise
Candidate must have knowledge of financial, commodity and energy markets, derivative instruments, and hedging which could have been gained in a Market Risk, Product Control or Trade Control roles.
Nice-to-have skills
- SQL
- Python coding
- Experience with ETRMs, specifically Aligne/Zainet or Endur.
Minimum years of experience: 3 in financial, commodity and energy markets
Bachelor's Degree
Bachelor's Degree in Business, Economics, Mathematics, Science, Engineering or IT
Additional Requirements
This needs combining with a positive attitude and an ability to work within a large, globally dispersed project team in a multi-cultural environment.
You also need to be a self-starter, a logical thinker and a quick learner, with strong initiative and excellent communication, interpersonal and presentation skills, able to write clearly and concisely.