





Tier-1 brand, metro location, and a mid-seniority generalist title increase applicant competition.
Strong energy trading and market-risk domain expertise limits cross-industry transferability.
Explicit 8–10 years plus mandatory trading, SOX, and ETRM risk controls raise shortlisting strictness.
Login to See Your Match Score
Create a free account or log in to unlock your CV match score across:
Develop and enforce fair economic value and risk measurement principles across Shell Trading & Supply globally, coordinating with risk managers and stakeholders.
Provide independent risk analysis, advice, and controls oversight including valuation modelling, exposure limits, process integration, and compliance with SOX controls.
Support development and automation of market risk tools, data integrity, and deliver executive-level performance and risk reporting for senior leadership.
8-10 years of experience in trading and risk management environment with understanding of trading, operations, risk, compliance, and controls.
Degree in Business, Economics, Mathematics, Science, Engineering, IT, or relevant energy trading industry experience.
Strong knowledge of financial, commodity, and energy markets, derivative instruments, options theory, and hedging techniques.
Work Experience Required: At least 8-10 years as specified in JD.
Experienced in leading risk integration and operational controls in energy trading with ability to challenge traders and management objectively.
Skilled in quantitative analysis, valuation modelling, and risk measurement techniques aligned with trading strategies and portfolios.
Strong communicator able to influence stakeholders, produce executive reports, and mentor team members in analytical mindset and risk methodologies.