





Tier-1 employer and Bangalore metro increase competition, but specialized trading-risk seniority reduces candidate pool.
Role requires trading and commodity risk experience, ETRM and valuation expertise, limiting cross-industry fit.
Mandatory 8–10 years, trading-market-risk, ETRM and SOX experience makes filters strict and role-specific.
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Develop and apply consistent fair economic value principles and risk measurement techniques across Shell Trading & Supply globally.
Provide independent risk advice, challenge valuation inputs, support limit setting, and ensure adherence to risk appetite and SOX controls.
Lead process integration, digitalization initiatives, produce senior leadership risk reporting, and support training to enhance analytical capabilities.
8-10 years of experience in trading and risk management within energy or financial markets.
Degree in Business, Economics, Mathematics, Science, Engineering, IT or relevant energy trading experience.
Strong knowledge of commodity/energy markets, derivatives, options theory, risk techniques, and financial controls.
Not explicitly mentioned: specific notice period or location constraints.
Experienced risk professional with operational leadership in trading organizations managing complex controls and processes.
Strong quantitative, analytical and communication skills to independently challenge and influence front office and senior stakeholders.
Focus on continuous improvement, digital tool adoption, and ability to translate complex risk scenarios into actionable insights for executive audiences.