The Global Trading Market Risk Valuation Analyst supports the daily valuation and risk reporting activities for Global Trading. This role is integral to ensuring accurate commodity curve management reporting for trading portfolios.
Requirements
- Bachelor's degree or above in Finance, Business Economic, Computer Science, or related discipline.
- 3-7 years of experience in commodity trading, financial or valuation.
- Attention to detail with a strong process execution focus.
- Strong analytical skills, and knowledge of financial instruments.
- Experience with or knowledge of financial derivatives and risk evaluation and management techniques
- Strong understanding of commodity markets and curve construction methodologies.
- Experience with VaR models and risk reporting tools.
- Proficiency in Excel, SQL, and risk analytics platforms (e.g., Endur, Power BI).
- Strong analytical and problem-solving skills with attention to detail.
- Ability to work effectively in a global team environment and communicate complex concepts clearly.
Benefits
- Competitive salary
- Benefits package
- Opportunities for professional growth and development