My client is a Global Energy Conglomerate and is looking to hire a talented Senior Manager to lead a physical crude oil book.
The ideal candidate will join a dynamic risk management team, ensuring the integrity and profitability of my clients trading operations. This role requires a deep understanding of commodity markets, particularly oil and gas, and a proven ability to manage complex risk exposures.
There will be significant career advancement opportunities within this role, as they expand and grow their US business. You will have the opportunity to take on a second physical desk in the near future.
Key Responsibilities:
- Oversee risk management for a physical crude oil trading book.
- Calculate and analyze daily risk reports, including P&L and exposures.
- Manage a team of junior risk analysts.
- Ensure accurate valuation, pricing, and hedging of physical transactions.
- Communicate effectively with traders, operators, and senior management.
- Proactively identify and address potential risks.
Qualifications:
- 3-6 years of experience in market risk, product control, or related fields.
- Strong understanding of commodity markets, with a preference for oil and gas.
- Proven team management skills and ability to mentor junior staff.
- Excellent analytical and problem-solving skills.
- Strong communication and interpersonal skills.
- Proficiency in VBA or Python is a plus.
This role is 5 days in office as you will be working directly with traders on desk.
Salary range: $130,000 - $175,000 + 25%-35% bonus and a strong benefits package.