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My client is an integrated oil major, with a strong presence in the commodities trading arena. They have been growing consistently, and with a number of opportunities available this is a great time to join.
Working within middle office, the successful candidate will be responsible for monitoring and reporting risk, setting up bespoke and complex modelling. You will report on physical asset-backed risks associated with structured products, with a pivotal responsibility to commercially influence bespoke deals. You will be investigating and proposing pricing models and assist in the improvement of risk analytics for the entire Middle Office. This is a great opportunity for exposure to challenging career development, within the energy and commodities space.
The ideal candidate for this role will have:
*Experience within commodity markets, with an emphasis on energy
*Structured Product and financial trading markets knowledge.
*P&L Analysis and Risk management experience - including VAR, Stress Testing and Scenario analysis
*Strong Modelling skills utilising Excel and VBA.
*Educated to degree level in a numerical discipline
Apply today to find out more.
All candidates must be eligible to work in the UK