An exciting opportunity exists for an experienced commodities market risk manager to join this growing business with a leading Investment Bank.
Key responsibilities: Day to day market risk management of the European commodities business - European Power and Gas, correlation trading , base & precious metals trading. Analysis of existing and new trades to ensure significant risks are measured, captured and effectively limited within the risk management process. Provide risk analysis for front office to assist them in decision making taking into account the risk/reward balance. Liase with desks regularly to understand key trading strategies and develop insight into the various markets. Applicants should have an excellent academic background and knowledge of commodities either from a risk management or trading environment.