Your responsibilities will include:
• Monitoring daily trading activity to ensure risks are accurately captured and remain within approved limits
• Producing timely and reliable P&L and valuation reports across various asset classes, including commodities and FX
• Supporting and improving risk frameworks and control processes that underpin trading operations
• Building tools and reports to help the business better understand market exposures and trends
• Collaborating with traders, finance, and risk teams to support strategic decision-making and performance analysis
You will need to have:
• 1–3 years of relevant experience in a middle office, market risk, or product control role within energy or commodities
• A strong understanding of financial products and derivatives
• Advanced Excel skills and a working knowledge of data tools (SQL or similar)
• Analytical mindset with the ability to interpret complex data and communicate insights clearly
• The ability to manage deadlines, stay organised, and remain detail-focused in a high-pressure environment
If you are interested in the role, please do apply or get in touch with Paula at Marlin Selection.