Do you want to help shape the future of energy and work where trading and portfolio decisions truly matter? In a fast-paced, data-driven environment, you collaborate closely with commercial teams and shape risk structures across the entire energy value chain.
Your responsibilities
1. You manage market risks in energy trading by defining, monitoring and continuously improving governance structures together with the business
2. Working closely with Trading, Origination and Sales, you analyse positions and strategies and translate them into clear, actionable recommendations
3. You ensure that risks, opportunities and valuations are accurately reflected in line with market conditions, creating transparency for decision-making
4. You use scenario and sensitivity analyses to assess market developments and make their impact on portfolios easy to understand
5. You further develop reporting and analytics so they provide real value in daily trading and portfolio steering
6. As part of operational risk management, you support new products, review trading activities and ensure regulatory compliance
What you bring to the role
7. You bring solid experience in energy trading or the energy industry and are familiar with dynamic market environments
8. Experience in risk management, renewables or a business-facing role enables you to assess risks in a practical way
9. You understand valuation models and market mechanics and can derive meaningful insights without needing to build models yourself
10. You are comfortable working with data and tools for analysis and reporting, such as SQL, Python or BI solutions
11. You take initiative, assume ownership and enjoy working closely with the business to drive solutions forward
12. You stay structured in a fast-moving environment, prioritise effectively and communicate confidently in English
We are not interested in enquiries from recruitment agencies.