Commodities/Energy Market Risk Analyst – Global Trading firm

The firm I am working with are the successful trading arm of a ‘Big 6’ Energy/Power company and they are looking to hire a skilled Market Risk Analyst into a team with a large product coverage. Candidates should be adept with 2 or more products (Gas, Oil, Coal, LNG, bio-fuels, Power etc

 

Candidates should come from a good educational background and be well-versed in VaR, stress-testing, PnL analysis etc. Candidates should be able to understand the risk associated with a trade and why certain methodologies are suited to different types of risk.

My client expects candidates to be able to explain their choices of risk methodology used and where measures/analysis might fall short in capturing all of the risk associated to a trade and methods of circumventing the issues.

This is a fantastic opportunity to work in a fast-paced environment in a company that is going from strength to strength.

If you would be interested in discussing this further, please send a CV and a paragraph detailing your suitability to Sammy @ skhelil@westbourne-partners.com

October 4, 2013 • Tags:  • Posted in: Financial

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