The Market Risk Analyst position is responsible for monitoring trading activities for compliance with Market Risk Management policies and developing and maintaining tools for Global Trading activities.
Requirements
- 2-4 years of experience in financial, energy or chemical risk management
- Strong knowledge of crude oil, refined products, natural gas, and/or freight markets, as well as other energy and traded markets
- Strong understanding of physical trading, derivatives, and financial products
- Excellent quantitative and analytical skills
- Excellent proficiency in Excel, SQL, and quantitative programming languages such as Python
- Experience with Energy Trading Risk Management Systems
- Collegiality and truly good interpersonal skills balanced with a disciplined risk management approach
- Bachelor's degree or above (Master's, MBA, CFA, or Ph.D.) in Economics, Finance, Mathematics or Statistics
Benefits
- Pension Plan
- Savings Plan
- Workplace Flexibility
- Comprehensive medical, dental, and vision plans
- Culture of Health
- Employee Health Advisory Program
- Disability Plan