Your responsibilities will include:
- Analysing trading positions and monitor exposure to market price movements across commodity portfolios
- Reconciling and explaining daily P&L movements, investigating discrepancies with trading teams and stakeholders
- Monitoring risk exposures, trading limits, and delegated authorities to ensure strong control frameworks
- Developing reporting tools, analytics, and process improvements to enhance business insight and operational efficiency
- Supporting system enhancements, testing, and collaboration across risk, finance, accounting, and commercial teams
You will need to have the following experience:
- Minimum 2 years’ experience within risk, product control, commodities, energy, or financial markets
- Understanding of derivatives products such as futures and swaps
- Strong analytical mindset with excellent attention to detail and problem-solving skills
- Intermediate Excel skills; SQL or Power BI knowledge is advantageous
- Strong communication skills with the confidence to challenge and support commercial stakeholders
If you are interested or would like to apply, please reach out to Paula at Marlin Selection.