Market Risk Analyst at Pembina Pipeline Corporation
Calgary, AB T2P 1G1, Canada -
Full Time


Start Date

Immediate

Expiry Date

26 Oct, 25

Salary

0.0

Posted On

26 Jul, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Energy Markets, Economics, Further Education, Spreads, Agility, Finance

Industry

Financial Services

Description

Work Arrangement: Hybrid
Department: Middle Office Group
Pembina Pipeline Corporation is a dynamic energy transportation and midstream provider, serving customers for more than 65 years. Chances are, we do more than you think. We own pipelines that transport hydrocarbon liquids and natural gas products produced primarily in Western Canada. We also own gathering and processing facilities and an oil and natural gas liquids infrastructure and logistics business. Our operations along the hydrocarbon value chain allow us to offer a full state of midstream and marketing services to our customers in the energy industry.
We are an organization that cares not only about results, but how those results are achieved. Our organization is grounded in the values of Safe, Trustworthy, Respectful, Collaborative and Entrepreneurial. Cultivating a positive employee experience and promoting a diverse and inclusive environment where our employees feel engaged, recognized and empowered is foundational to our ambition of being an employer of choice. Learn more about our values and strategy.
We value the safety of our communities, customers, contractors and employees, and believe that all incidents are preventable. Compliance with all policies, procedures and regulations is a requirement, and our Life Saving Rules are basic rules that everyone should know and live by. Working for Pembina means working safely.

QUALIFICATIONS:



    • Recent graduate or early-career professional with a degree in Business, Finance, Economics, or a related field.

    • Strong analytical and problem-solving skills.
    • Excellent communication and interpersonal abilities.
    • Eagerness to learn and contribute to a team-oriented environment;
    • Show learning agility by seeking feedback, adapting quickly and apply new knowledge to contribute to results;
    • Desire to pursue further education, (CFA, ERP, FRM);
    • Basic understanding of energy markets and physical/financial transactions (buy/sell, swap, spreads, futures, options), and deal life cycle is an asset.
    Responsibilities


      • Monitor trading activity to ensure all trades are within prescribed risk tolerances;

      • Collaborate with cross-functional teams to perform investigations and resolve issues, and/or issue trader limit signals and violation notices when appropriate;
      • Develop and maintain strong relationships with Front Office, Mid Office, and Back Office and promote a “getting to yes safely” mentality;
      • Support the development and maintenance of risk registers and reporting tools;
      • Access commercial deals from trade capture systems to perform confirmations management;
      • Assist in identifying and analyzing operational, financial, and strategic risks across the organization;
      • Participate in the preparation of risk reports and presentations for internal stakeholders;
      • Contribute to continuous improvement initiatives within the Risk Management team;
      • Exercise strong judgment and business acumen to identify, diagnose, and solve problems within the Middle Office, in accordance with Pembina’s risk management framework;
      • Provide ad-hoc support to other business areas and audit as required;
      • Support Pembina’s safety culture of “Zero by Choice” and the “Life Saving Rules”. To read more about our Life Saving Rules, visit pembina.com/safety; and
      • Participate and support an equitable, diverse, and inclusive workplace.
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