The Global Trading Market Risk Valuation Manager position leads a team of analysts and advisors in monitoring and managing risk reporting associated with Global Trading activities.
Requirements
- Bachelor's degree or above in Quant Finance, Business Economic, Computer Science, Finance, Management
- 10+ years of experience in petrochemical trading, financial or energy risk management
- Experience with or knowledge of financial derivatives and risk evaluation and management techniques
- Strong leadership, communications skills, and presence in discussions with senior management
- Good understanding of decision analysis techniques, statistical modelling and comfort with modelling issues involving risk and uncertainty
- Advanced financial and risk analysis capabilities
Benefits
- Competitive salary
- Benefits package
- Opportunities for career growth and development