- Running the daily, weekly and monthly risk processes including VaR, Options and Stress testing as part of a large power and emissions risk team;
- Be responsible for identification, measurement, monitoring and mitigation of (market) risks in the Nordic asset portfolio;
- Support within the Risk Team for IT testing and development;
- Presentations of views on the business from a risk perspective to management and governance committees;
- Conduct ad hoc analysis and lead projects as required.
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- 2 - 5 years experience in the energy wholesale sector or another commodities trading sector;
- Qualification in a science/engineering/economics subjects involving strong numerical skills;
- Strong programming skills in VBA, SQL, C++ or other languages are desired;
- Experience through the lifecycle (from idea to delivery) of sophisticated trading strategies, new product development and risk management concepts;
- Strong at forming relationships across the business and working effectively with different teams;
- Strong analytical thinker and problem solving capability.
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This company does not only endeavour to satisfy their customers, but also their close to 93,500 employees in over 30 countries. Because they make them what they are: one of the world’s largest investor-owned power and gas companies.
The Energy Trading branch has been launched to take advantage of the opportunities available in the developing European markets. Striving to become the best and most exciting integrated energy trading business in Europe, this company offers a fast-paced working environment with a culture of openness and high performance. With arguably the best portfolio of assets in Europe, this company offers an attractive business strategy, varied roles and competitive packages. |
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