Job Description
1. Trade flat price, spreads and options in Brent, FX, and related macro markets, aligned with the company’s LNG, Gas, and Power trading portfolio
2. Analyze European energy fundamentals (TTF, NBP, EU power hubs, LNG flows, carbon markets) and their links to global macro drivers
3. Identify cross-commodity and cross-currency opportunities, including oil–gas spreads, FX impacts on LNG flows, and volatility strategies
4. Establish internal and external flow channels behind
5. Support increasing credit lines and tradability
6. Monitor macroeconomic, geopolitical, and policy developments shaping energy and FX markets (ECB/Fed policy, EU regulation, sanctions, supply security)
7. Contribute to risk management and hedging strategies for the broader trading book
Qualifications
8. Minimum of 5 years of experience in trading, with a focus and track record of generating P&L from macro or cross-commodity trading strategies
9. Strong background in Brent crude, FX and options trading and the ability to combine macro analysis with energy market fundamentals
10. Understanding of US and European Gas and Power, LNG markets is a plus
11. Strong quantitative capabilities
12. Excellent communication and collaboration skills in a trading floor environment
13. Degree in finance, economics, mathematics, or a related quantitative field