Key Roles and Responsibilities of the Market Risk Manager, Commodities:
- Handle all Product Control, Market Risk Reporting and Market Risk Analysis for the firm
- Handle all daily position reporting
- Work to support Traders on any P&L issues
- Manage the Trading desk's exposure and calculate Value at Risk (VaR)
- Manage daily Profit & Loss (P&L) reporting
- Work on all validation matters and ensure stress testing and back-testing for the organisation
Key Roles and Responsibilities of the Market Risk Manager, Commodities:
- At least 7 years of relevant experience as a Risk Analyst from an Oil, Gas or Energy environment.
- Ability to develop strong business relationships
- Ability to work independently and as well, be a team player
- Strong analytical and technical skills and a strategic mindset and business acumen
- Excellent stakeholder management, and keen eye for detail