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The ideal candidate will be knowledgeable in the global energy markets. The successful candidate will responsively analyze and report the PNL, exposure risks in relation to the book in with they will be in charge.
Responsibilities include Process Audit, to include compliance with the Company’s policies & procedures; Supervision of deal entry by traders and operators. Control, which includes analyzing and reporting risks taken, outright risk, time-spread risk, basis risk; P&L valuation; Post-facto analysis and reporting. Performance Monitoring, Analysis and Reporting, to include: Independent and accurate reporting of daily PnL reports, exposure reports, monitor trading limits, trading mandates and report violation.
Requirements: •Must be quantitatively proficient, numerate, Excel competent and have a good knowledge of VAR •Graduate with good degree •Good physical trading understanding. •Good paper trading knowledge (swaps, futures, and options will be a plus) •Previous experience in dealing with the energy markets is required. The candidate should be relatively familiar with crude and products in terms of types, specifications and pricing. •Should be a quick learner and willing to handle the many challenges that should arise. •A team player that is good at communicating with his/her team as well as their respective traders. •Previous experience as a risk controller is preferred, although other candidates will be taken into consideration.
The ideal candidate will have a few years experience/understanding in both the physical operations of energy trading as well as the derivatives aspect of it.
For more information or immediate consideration please reference Job#JCK536 and submit your resume in MS Word format to: ian@comprehensiverecruiting.com
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