London (Hybrid working)
Strong base salary + Performance Bonus
An exciting opportunity has arisen with a leading international energy and trading business operating across global supply chains.
This role will focus on daily P&L, exposure and risk reporting across hedging activity, working closely with Front Office, Risk, Operations and Finance in a fast-moving commercial environment.
Key responsibilities include:
- Daily P&L and exposure reporting across hedging activity
- Limit monitoring, Daily P&L analysis and MI to Management Accounts reconciliations
- Broker reconciliations and validation of trading system data
- Working closely with traders and operational stakeholders to ensure accurate reporting
- Commercial analysis across pricing, basis risk and P&L attribution
- Price curve production for P&L and mark-to-market valuations
- Management of OTC derivative processes including credit reporting, margining, confirmations, settlements and invoicing
- Strengthening controls, audit trails and reporting processes
- Supporting month-end close and wider reporting infrastructure improvements
We are keen to hear from individuals with:
- Experience in oil, marine fuel, commodities or wider energy trading environments
- Strong understanding of derivatives, market risk concepts and P&L attribution
- Carbon markets and environmental products knowledge
- Exposure to freight derivatives and associated valuation dynamics
- Strong Excel capability, with VBA helpful but not essential
- Excellent stakeholder management and communication skills
- Strong analytical capability and high attention to detail
- ACA or CIMA qualification preferred
Benefits include:
- 25 days holiday plus birthday day off
- BUPA health insurance
- Matched pension up to 5%
- Life insurance
- Friday team lunch benefit
- Annual charity day
- Gym / wellness subsidy
Apply in confidence for a confidential discussion.
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