Energy Risk Modelling Analyst for World Renowned Energy Major
My client is one of the world’s largest Energy Majors and is currently looking for an Energy Risk specialist with strong modelling and methodology experience to join their Risk team in their London based office.
The purpose of the position is to continually improve the Energy market and credit risk framework and to provide clear, accurate and insightful risk reporting and analysis. The successful candidate will be responsible for the development of risk models and have an excellent understanding of the trade life cycle and the practical implementation of risk indicator of risk indicator methodologies.
The ideal candidate will have:
- An education to degree standard is required, ideally in a related field. Numerical subjects are strongly preferred, for example, economics, finance or mathematics.
- A very good understanding of trading risk management and markets is required, with energy experience highly desirable
- Highly-developed commercial acumen
- Highly analytical and numerical; comfortable discussing technical subject matter
- Advanced spread sheets and, preferably, database skills
- A strong commitment to developing an in depth knowledge of energy markets and associated trading risk management systems, processes, policies and methodologies
- Strong stakeholder management, including influencing, negotiation and consulting
- Able to challenge accepted ways and consider options to improve business proposals
- The desire and ability to coach and manage in order to pass on expertise and effectively manage performance of team members
If you are interested in finding out more please send an up-to-date CV to i.james@bramwithconsulting.co.uk
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