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Tier-1 brand and metro location increase applicant density, but niche market-risk specialization moderates competition.
Role requires deep trading and market-risk expertise tied to energy markets, limiting cross-industry transferability.
Explicit 8-10 years plus specialized trading, risk, SOX and ETRM requirements make filtering highly strict.
Develop and implement fair economic value principles and consistent risk management processes across Trading and Supply business globally.
Provide independent risk advice, valuation challenges, and analyze market risk exposures including VaR, stress tests, and scenario analysis for senior leadership.
Lead the review, design, and execution of controls (including SOX), support new business integration, and drive continuous improvement and digitalization of risk operations.
8-10 years of relevant experience in trading and risk management organizations.
Degree in Business, Economics, Mathematics, Science, Engineering, IT, or equivalent relevant experience.
Strong knowledge of financial markets, derivative instruments, options theory, risk management, and trading strategies.
Work Experience Required: 8-10 years in trading and risk management; Notice Period: Not explicitly mentioned in the JD.
Experienced in leading risk or operations teams with demonstrated ability to implement controls and process improvements under tight deadlines.
Strong stakeholder management skills with ability to challenge trading counterparts and senior management confidently and independently.
Technically proficient with trading systems, risk tools, quantitative analysis, and able to communicate complex risk concepts effectively to senior stakeholders.