Be a part of the risk management team in an international energy and infrastructure company and help us safeguard the company against financial risks in turmoil times.
Your role
1. With an analytical mindset you will help us assess and manage liquidity, FX and interest rate risk in close cooperation with our treasury team
2. You will be working in the intersection of treasury, energy trading, accounting, and risk management
3. You are responsible for monitoring daily risk limits, conducting plausibility checks, and actively maintaining in-house tools for treasury risk analysis
4. You develop visualizations for management reporting and internal understanding
5. Additionally, you oversee data consolidation processes and perform critical tasks like CSA-margining, ensuring smooth day-to-day operations
6. Assessing internal requests for new energy trading products from a treasury risk perspective, you navigate market dynamics and regulatory considerations, contributing to a robust treasury and energy trading operation
Your skills
7. You have a master's degree in economics, natural sciences (especially physics or mathematics) or business administration with a focus on quantitative methods
8. Ideally you have 3+ years of professional experience from corporate treasury or risk management in the energy industry or banking
9. You have programming (Python and SQL) and visualizations skills (Looker or similar)
10. You are proactive and characterised by analytical skills and a practice-oriented affinity for numbers and IT
11. Good knowledge of German or English
12. You are a team player and thrive in an international environment
We are not interested in enquiries from recruitment agencies.