Manager-Energy Market & Credit Risk recruitment

 As the manager of these three risk infrastructure areas you will be required to ensure that the necessary processes, systems, methodologies, and policies are in place to ensure the effective control of market risk (energy risk) and credit risk.

This will involve influencing, guiding, and challenging senior managers and stakeholders to ensure that objectives are met as well as ensuring that the teams I motivated and developed. You will also need to ensure that the impact of business change is assessed and incorporated into decision making and that the risk framework and subsequent reporting is maintained.

To apply fro this role you will need energy trading risk experience (oil/gas etc) and a full understanding of the trade lifecycle, risk systems, and risk change/projects. You will have excellent, proven stakeholder management skills and be a strong leader. You will be educated to degree level (or above).

Contract duration is initially 6-9 months.