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Senior Market Risk Analyst

Posted 25 days ago

  • London, Greater London
  • Any
  • External
  • Expires In 2 months
We are currently looking for a Senior Market Risk Analyst to work on a long-term project for an Energy company, based in London.
Please read the information in this job post thoroughly to understand exactly what is expected of potential candidates.
KEY RESPONSIBILITY AREAS
Responsible for the migration, accuracy, and integrity of data into the company’s ETRM system for successful reporting
Daily reconciliation and parallel running of the system exposures and P&L for both physical and financial trading versus independent calculations to ensure correctness and completeness
Identifying and resolving system anomalies, together with recommending solutions for system enhancements and development for the ETRM system
Work collaboratively with other cross functional teams, Front Office, Middle Office, Back Office, Finance and IT for successful project delivery and continuous improvement
Support process standardization for reporting purposes within the Risk team, regionally and globally
Prepare and review of daily P&L and risk reports and following up of any issues with the relevant teams
Other Ad-hoc tasks assigned by the Market Risk Manager
CANDIDATE SPECIFICATIONS
University degree in economics, finance and / or engineering discipline;
Relevant experience in a market risk and or project role within the Middle Office from trading companies or banks
Experience manipulating and analysing large and complex datasets
Knowledge of ETRM systems and end user requirements
Problem solving capability with a pproactive and result oriented approach to work;
Strong attention to detail
Knowledge of refined products (blending, storage, biofuels etc.) and shipping markets
Good understanding of pricing and hedging of the physical activities with the use of various derivatives instruments (futures, swaps, options etc.)
Strong and solid knowledge of MS Office suite including excellent Excel and VBA skills, Python, Matlab & SQL knowledge a plus;
Ability to communicate concisely to senior management in Market Risk and to stakeholders;
Highly organised, good attention to detail and ability to work with tight deadlines;
Analytical mind and good numerical skills;
Strong communication and interpersonal skills;
Ability to build and nurture effective relationships internally and externally;
Full command of English language (spoken and written).
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