Middle Office Manager

Perm
Risk
London
London
competitive
3215
Your responsibilities will include: 
  • Oversee trading and hedging activities, ensuring they remain within the company’s risk framework and policies.
  • Monitor and report exposures across commodities, foreign exchange, and interest rates.
  • Prepare and validate P&L reports and mark-to-market valuations, incorporating necessary adjustments.
  • Develop and enhance risk management controls to improve the accuracy and reliability of market risk reporting.
  • Assist in designing and implementing risk mitigation strategies, such as VaR limits and stop-loss measures, while overseeing ongoing monitoring and compliance.
You will need to have the following experience:
  • Extensive experience in middle office, product control, or market risk management within commodity or energy trading.
  • Strong knowledge of financial markets, derivatives, and risk management methodologies.
  • Advanced Excel skills, with experience in SQL or database queries being beneficial.
  • Proficiency in quantitative analysis, statistical modelling, and risk assessment tools (e.g., VaR, stress testing, Monte Carlo simulation).
  • Excellent analytical and problem-solving skills, with the ability to interpret complex data and trends to support decision-making.

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