Commodity Risk Manager
hace 1 mes
Galp has been a part of society for generations, and as the energy landscape evolves, we adapt to meet the changing needs of our communities. We're committed to growth, providing the resources and support for our team members to develop at their own pace and in their own way.
Energy Management Business UnitYou'll join our Energy Management Business Unit, which encompasses the supply, trading, and dispatch of oil, biofuels, natural gas, electricity, and environmental products - both from our own capital and third-party sources.
Key Responsibilities- Identify, manage, and mitigate commodity trading risks and opportunities.
- Assist in identifying significant risks within the trading portfolio and ensure transparency to senior management.
- Develop and maintain an overall risk management model and policy.
- Monitor and report risk management limits.
- Provide independent analysis and guidance on new business proposals.
- Relevant experience in a product control, market risk, middle office, or risk management environment in a commodity trading company.
- GARP certification (FRM preferred).
- Strong academic credentials with a numeracy-oriented specialization, preferably finance or a quantitative discipline.
- Advanced knowledge of risk metrics and market data analytics.
- Understanding of commodity markets, exchanges, and front-to-back business processes.
At Galp, we value a scientific mindset, good communication and interpersonal skills, and the ability to provide advice, question discrepancies, and escalate issues. If you're passionate about energy and risk management, we encourage you to explore this opportunity further.
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