Senior Risk Manager | Leading Global Energy House, London

This is the opportunity to join a rapidly expanding quantitative risk function working within a front office environment and focusing predominantly on the physcial commodities and derivatives trading desks. Strong knowledge of the London commodities markets is essential and experience managing the risk of physcial or derivatives products is strongly preferred.

The team are looking to continue the fast development of the group and are concentrating on sourcing outstanding quantitative and risk professionals from top financial institutions across Europe to join this highly successful trade floor environment. You will be directly responsible for managing the team and reporting directly to the Head of Risk and therefore management experience is a highly preferable skill for this position.

The following includes an outline of the specific skills and experience required for this opportunity;

- 4+ years industry experience within a trading, quantitative and/or risk management function
- Strong product knowledge within the commodities markets
- Highly academic with a minimum of MSc within a mathematical or quantitative area of study
- PhD level education is strongly preferred
- Fluent English speaker
- Knowledge and experience within the European financial markets
- Outstanding communication skills and experience working in a front office based position

If you feel this opportunity is in keeping with your skill set and experience then please apply below.

April 11, 2013 • Tags:  • Posted in: Financial

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