





Tier-1 employer and metro location increase applicant density, but specialized trading risk skills narrow the pool.
Requires commodity trading and market-risk expertise, making skills less transferable across industries.
Explicit 8-10 years plus mandatory trading, SOX, and ETRM experience enforces strict shortlisting filters.
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Lead development and application of fair economic value principles and risk measurement techniques across the Trading & Supply (T&S) business globally.
Ensure consistent integration of new business processes, finance controls, and market risk tools with stakeholders, supporting data integrity and digitalization.
Provide independent risk assessment, limit monitoring, ad-hoc P&L analysis, and executive reporting to senior leadership including CFO, EVPs, and CRO.
8-10 years of relevant work experience in trading and risk management organizations.
Degree in Business, Economics, Mathematics, Science, Engineering or IT, or relevant workplace experience in energy trading.
Strong understanding of financial, commodity, energy markets, derivative instruments, options theory, and hedging techniques.
Experience in leadership roles implementing new processes under tight deadlines; strong stakeholder management skills.
Experienced in managing complex market risk functions within large trading environments with global stakeholder engagement.
Demonstrates deep technical expertise in market risk tools, valuation models, and energy trading strategies including options and portfolio optimisation.
Operates independently as an objective risk advisor with strong analytical capabilities and proven experience in delivering executive-level risk communications and governance.