Your responsibilities will include:
- Producing daily position, P&L and exposure reporting with clear commentary on drivers and movements
- Monitoring trader exposures and ensuring adherence to risk limits and delegations of authority
- Supporting daily hedging activities, including physical, paper and FX exposure management
- Partnering closely with trading desks and other internal teams to support risk management requirements
- Providing insightful analysis and performance commentary on trading books and strategies
You will need to have the following experience:
- Proven experience within oil products, gained in a risk, trading or front-office-facing role
- Strong understanding of physical oil trading and associated risk exposures
- Strong knowledge of P&L attribution, valuation and risk metrics such as VaR
If you are interested, please apply or reach out to Paula at Marlin Selection for a confidential discussion.