- Monitor and analyze market risk exposures across the ENERGY & NATURAL RESOURCES portfolio.
- Prepare and present daily, weekly, and monthly risk reports to stakeholders.
- Contribute to the development and enhancement of risk management tools and models.
- Identify potential market risks and propose mitigation strategies.
- Collaborate with the trading and finance teams to ensure accurate risk measurement and reporting.
- Support the implementation of risk policies and procedures.
- Stay updated on market trends and regulatory changes affecting the ENERGY & NATURAL RESOURCES sector.
- Assist with ad hoc risk analysis and projects as required.
A successful MARKET RISK ANALYST should have:
- Bachelor's or master's degree in a quantitative field (e.g., Engineering, Mathematics, Physics, Computer Science, Quantitative Finance, etc.).
- Strong proficiency in Python and SQL for data analysis and automation. Solid understanding of data structures, querying large datasets, and building analytical tools (minimum 2 years of experience).
- Proficiency in risk management concepts and tools.
- Strong analytical and problem-solving skills.
- Familiarity with the commodity trading industry.
- Excellent communication skills in English; additional languages are a plus.
- An ability to work effectively in a fast-paced environment.
Our client offers you:
- An opportunity to work in the vibrant commodity trading sector in Geneva.
- A collaborative and professional working environment.
- Opportunities for professional growth and development.
- Engagement in challenging and impactful projects.
If you are an experienced and motivated MARKET RISK ANALYST looking for a new opportunity, we encourage you to apply today!