Market Risk Manager - Crude Oil
London
Market Risk Manager - Crude Oil
- Permanent
London
The details
This vacancy has now expired.
Start your job searchWe are recruiting for a Market Risk Manager with experience working with Crude Oil (Physical & Derivatives) to join one of the biggest players within the trading and shipping industry worldwide.
Role based in London (Hybrid working).
You will be paid a competitive salary with the entitlement to an exceptional pension scheme and performance related bonuses while receiving a generous holiday allowance and other exceptional range of benefits.
The successful candidate must have market risk experience in the physical crude oil sector.
Examples of responsibilities to expect:
- Manage a team of analysts and ensure all risk & P&L reports are delivered.
- Work closely with senior stakeholders & senior management and front office.
- Monitor market conditions and supply-demand dynamics to identify potential tail risks and assess the impact of market events and potential scenarios on the physical crude oil portfolio.
- Conduct in-depth analysis of market data.
- Conduct pricing analysis to assess the risk of complex physical and derivatives transactions.
Candidate Requirements:
- Bachelor's degree in finance, Economics, Maths, Physics or Equivalents
- 6+ years of market risk experience with experience working in a commodity firm or trading firm.
- Physical Crude Oil experience
- Strong derivatives experience
- Proficient in programming languages e.g. Python, MATLAB, SQL.
- Experience in implementing risk & pricing models.
- Outstanding interpersonal skills and ability to work in a fast-paced environment.
If you would like to know more about this opportunity, please contact me on 02080766934 / deem.napattaloong@markssattin.com
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