Risk Manager recruitment

Working with the trading teams, you will play a major role in establishing increased competence in risk controlling.

Primary responsibilities will include the value and capture of new products within both the core trading system and development of secondary risk systems where required (together with Quant Risk). You will also be expected to provide detailed analysis of risk measures, positions, PL and trading strategies for traders, finance and senior management, value added risk analysis to challenge and support trading strategies. There will also be significant involvement in varied projects and initiatives across the business.

Successful applicants must have Risk Management experience working with traded commodity and/or energy products, showing knowledge of; trading lifecycle, risk management, commodity operations and the energy supply chain. Additionally you must display evidence of a level of experience and ability with quantitative or qualitative analytical approaches in tackling issues and tasks, and strong evidence of attention to detail in delivery.