Senior Market Risk Analyst - Refined Products

at  Marks Sattin

London, England, United Kingdom -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate19 Jun, 2024GBP 80000 Annual19 Mar, 2024N/ABiofuels,Interpersonal Skills,Finance,Stress Testing,Storage,Risk Metrics,Matlab,Programming Languages,Swaps,Economics,Sql,Hedging,Scenario Analysis,PhysicsNoNo
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Description:

We are recruiting for a Senior Market Risk Analyst with experience working with refined products (e.g. blending, storage, biofuels etc) to join one of the biggest players within the trading and shipping industry worldwide.
Role based in London (Hybrid working).
You will be paid a competitive salary with the entitlement to an exceptional pension scheme and performance related bonuses while receiving a generous holiday allowance and other exceptional range of benefits.
The successful candidate must have market risk experience at senior analyst seniority level and experience working with refined products. Candidates must come from a commodities firm, trading firms banks or consultancies specialising in commodities.

Examples of responsibilities to expect:

  • Prepare and review daily PNL and market risk reports.
  • Identify significant risks within the business & presenting reports to senior stakeholders.
  • Work closely with front office teams to support new product approvals.
  • Monitor market conditions and supply-demand dynamics to identify potential tail risks and assess the impact of market events and potential scenarios on the physical crude oil portfolio.
  • Assist on the enhancement of the firm’s trading & Risk Management Systems
  • Mentor junior members.
  • Conduct in-depth analysis of market data.

Candidate Requirements:

  • Bachelor’s degree in finance, Economics, Maths, Physics or Equivalents
  • Market risk experience at senior analyst level or equivalent,
  • Refined Products experience (e.g. blending, storage, biofuels etc.)
  • Solid understanding of pricing and hedging of the physical activities with the use of various derivatives instruments (futures, swaps, options etc.)
  • Strong knowledge of risk metrics e.g. VaR, stress testing, scenario analysis.
  • Proficient in programming languages e.g. Python or MATLAB or SQL etc.
  • Outstanding interpersonal skills and ability to work in a fast-paced environment.

If you would like to know more about this opportunity, please contact me on 02080766934 / deem.napattaloong@markssattin.com

Responsibilities:

  • Prepare and review daily PNL and market risk reports.
  • Identify significant risks within the business & presenting reports to senior stakeholders.
  • Work closely with front office teams to support new product approvals.
  • Monitor market conditions and supply-demand dynamics to identify potential tail risks and assess the impact of market events and potential scenarios on the physical crude oil portfolio.
  • Assist on the enhancement of the firm’s trading & Risk Management Systems
  • Mentor junior members.
  • Conduct in-depth analysis of market data


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Finance

Graduate

Finance economics maths physics or equivalents

Proficient

1

London, United Kingdom