Bruin

Market Risk Analyst - Commodities

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Job Location

London, United Kingdom

Job Description

What the Role Offers: Innovative Challenges: Work on the cutting edge of risk management, designing and enhancing tools for monitoring market, credit, and liquidity risks using advanced programming in Python or VBA. Technical Mastery: Gain hands-on experience with trade modeling, forward pricing curve development, and stress testing for a variety of risks across global energy markets. Career Growth: Be part of an international team collaborating with professionals in London, Paris, New York, and Singapore while tackling high-impact projects like model validation, VaR enhancement, and new product onboarding. Diverse Responsibilities: From month-end valuation controls to process improvement and change management, no two days will be the same. What You Bring: A degree in Mathematics, Mathematical Finance, Physics, Engineering, or a similar quantitative field. Strong problem-solving skills and intellectual curiosity to navigate complex challenges. Proficiency in Excel VBA or Python. A background in Market Risk within energy markets (oil, gas, power) and knowledge of ETRM systems are a plus. Excellent communication and organizational skills, with the ability to manage multiple priorities and meet deadlines. This is your chance to grow your expertise, work on impactful projects, and contribute to a global team driving risk management innovation.

Location: London, GB

Posted Date: 1/17/2025
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Bruin

Posted

January 17, 2025
UID: 5012968029

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