About Our Client
Our client is a leading international oil trading house, with a diversified portfolio spanning crude oil, refined products and energy derivatives. Operating across global markets, the firm is known for its rigorous risk culture and the quality of its trading infrastructure.
Job Description
- Design, implement and continuously improve the market risk framework (price, FX, interest rate) across physical and paper portfolios
- Monitor daily P&L, positions, VaR, Greeks and exposure limits; escalade breaches with clear analysis
- Produce risk reporting for the CFO, COO and Risk Committee, with actionable recommendations
- Manage counterparty and credit risk: scoring, credit limits, collateral and margin calls
- Contribute to hedging strategy design and optimisation in close collaboration with traders
- Drive cross‑functional projects: CTRM implementation, stress testing, regulatory compliance