Point72 Asset Management is seeking a Risk Manager specialized in Gas and Power Trading to join the Risk Management & Quantitative Research team, focusing on identifying, capturing, and communicating material risks of the business.
Requirements
- Five or more years of experience as a risk manager or a portfolio manager, directly related to US and European power & gas products
- Solid energy product knowledge and analytical rigor in terms of pricing models, risk sensitivities and the best practice for risk aggregation in a portfolio context
- Detailed understanding of risk management, portfolio construction, and trading
- High level of proficiency in SQL and quantitative programming (e.g. Python, MATLAB, R); experienced in dealing with large data sets
- Strong communication skills and prior experience interacting with portfolio managers
- Ability to manage multiple tasks independently and deadlines in a fast-paced environment
- Ability to proactively seek new ideas and solution to improve the status quo
- Ability to work cooperatively with all levels of staff as part of a team
- Excellent interpersonal skills and “emotional intelligence” – we seek a demonstrated ability to build relationships both internally and externally
- Strong communication skills – an ability to clearly and concisely articulate complex ideas to senior management and portfolio managers is critical
- A commitment to the highest ethical standards and to act with professionalism and integrity
Benefits
- Substantial career opportunities
- Workplace where performance and integrity go hand in hand
- Personal and professional development
- Innovation and creativity
- Long-term careers
- Success measured by the merits of the work, its quality and the results obtained