Interim Commodity Risk Manager

London  ‐ Onsite
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Keywords

Description

An Interim Risk Manager opportunity has arisen with a market-leading Energy Trading Company. The organisation is looking to increase their stronghold within Power, Gas and Oil.

The successful candidate will be responsible for reviewing and developing effective risk management frameworks and governance structures within the association.

The role will initially be on a 6 month period to cover a period of extensive change within the organisation.

Main responsibilities:
- To lead a dedicated team of resources to undertake daily VaR, options and stress reporting
- To Support the CRO In the monthly market and operational risk review to appraise the company's senior leadership on key risk issues/changes
- To ensure the timely and accurate routine reporting of risk on a daily, weekly and monthly basis
- To conduct ad-hoc risk analyses as required to investigate VaR changes

Experienced needed:
- Experience in risk management including VaR calculation options pricing and scenario/stress testing responsibilities within an energy trading house or investment bank
- Knowledge of energy commodities is a huge advantage

You will be offered an industry-leading day rate with strong potential for an extension to 12-18 months. Contact Andre or call

Start date
ASAP
Duration
6 months+
(extension possible)
From
Commodity Interim People
Published at
17.01.2013
Project ID:
474090
Contract type
Freelance
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