





Tier-1 brand, metro location, and mid-seniority raise applicant competition despite niche skill requirements.
Highly industry-specific market-risk and trading skills limit transferability across industries.
Explicit 8–10 year requirement plus mandatory trading, risk and ETRM expertise makes filters highly strict.
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Develop and apply fair economic value principles and ensure consistent risk management processes across all Trading & Supply (T&S) business units globally.
Provide independent analysis and advice on trading risk exposures, valuation inputs, and risk-return alignment; produce executive-level performance and risk reports for senior leadership.
Lead development of risk controls, support new business integrations, ensure SOX compliance, and advance digitization and automation of risk operations.
8-10 years of work experience in trading and risk management within commodity or energy markets.
Degree in Business, Economics, Mathematics, Science, Engineering, IT or relevant energy trading industry experience.
Strong understanding of financial, commodity and energy markets, derivatives, options theory, and risk management tools.
Work Experience Required: At least 8-10 years in relevant trading and risk roles; Notice period: Not explicitly mentioned in the JD.
Experienced in leading and advising on risk and valuation in a trading environment with ability to challenge front office and engage senior stakeholders.
Demonstrates strong quantitative, analytical, and technology orientation with skill in modeling, risk metrics (VaR, stress testing), and ETRM systems.
Capable of driving process improvements and culture of risk discipline across global teams while effectively communicating complex risk insights to executives.