***Senior Risk Manager Position in the Energy Sector***
An industry-leading Oil & Gas Trading Firm is looking to add a Senior Risk Manager to lead their Risk Analytics Team. This is a front-office position, as the Risk Analytics team reports directly to the Commodities Trading Director of the Americas. The Risk Analytics team monitors overall trading risk exposure and provides the trading team advisory for portfolio optimization and high risk-adjusted-return.
The Senior Risk Manager will:
Monitor, report, and validate portfolio position and marked to market reports.
Manage and mentor a team of associate risk analysts
Lead the implementation of advanced risk analytics to enhance the company's current risk framework
Design hedging strategies for the long/short oil and gas positions
Create trend analysis as a resource for Senior Management
Develop and maintain weekly/monthly analysis reports for Senior Management and Shareholders
The ideal candidate will have:
An advanced degree in Finance, Financial Engineering, Applied Mathematics, Computer Science, or a related field
At minimum, 3-5 years of experience in market risk related to energy, trading, investment, or capital markets
Experience with commodities such as power, crude oil, natural gas, LNG, or distillates
Knowledge of statistical concepts
Track record of managing large datasets
Strong quantitative skills
Knowledge of derivatives trading strategies
If interested, please apply!
Internal Number: 6131698
About Selby Jennings Buyside
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