Job Description
* Work in close coordination with Desk Heads (Gas, LNG, Power and Environmental Products) to identify synergies, and foster cross-desk collaboration as well to identify multi-commodity trading opportunities and integrated strategies
* Continuously validate, challenge, and calibrate trading strategies within the desk and across the broader trading portfolio
* Identify new trading strategies or identify inefficiencies that can be monetized and ensure alignment with risk appetite and strategic goals of METI
* Own the P&L and risk profile of the trading activities under your direction including FX hedging activities for the company portfolio.
* Partner with the market risk, financial structuring, legal and analytics teams to ensure strategies are aligned with risk frameworks and operational capabilities
* Support and mentor junior team members and traders, contribute to building a high-performance trading culture
Qualifications
* Minimum of 7–10 years of experience in energy trading and / or financial commodity markets with a strategic or quantitative focus
* Proven track record in developing and executing successful trading strategies across European energy markets
* Deep understanding of financial instruments (futures, options, spreads, swaps) and their application in energy trading
* Strong knowledge of market structures, pricing, risk management, and portfolio dynamics
* Experience leading analytics or quantitative risk teams in developing models to support commercial decision making
* Excellent communication, management, and stakeholder management skills
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