





Tier-1 Shell brand plus metro Bangalore increases applicant volume, but niche energy trading risk reduces density.
Role requires energy trading and market risk domain expertise, limiting cross-industry transferability.
Explicit 8–10 years plus mandatory ETRM, VaR, SOX and trading risk expertise make filters strict.
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Develop and standardize fair economic value and risk measurement practices across Shell Trading and Supply globally, supporting integration, new processes, and finance controls.
Provide quantitative analysis, modelling support, and risk insights to stakeholders including Front Office, Senior Leadership, and Global Market Risk Manager, ensuring adherence to risk appetite and limits.
Drive process improvements, digitalization, control oversight (including SOX compliance), and training to foster independent risk management and continuous enhancement in Market Risk operations.
8-10 years of relevant experience in trading and risk management organization, preferably in energy trading.
Degree in Business, Economics, Mathematics, Science, Engineering, IT or relevant experience in energy trading industry.
Strong knowledge of financial, commodity and energy markets, derivatives, options theory and trading strategies.
Proven leadership experience in team or projects involving process implementation with strict deadlines.
Experienced risk professional with capability to independently challenge traders and management, providing objective risk analyses and decision support.
Technically strong with proficiency in quantitative techniques, risk tools (VaR, stress testing), and understanding of integrated trading strategies and ETRM systems.
Effective communicator able to produce executive-level presentations and collaborate across functions without direct authority.