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Senior Market Risk Analyst - Power

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London

On-site

GBP 125,000 - 150,000

5 days ago
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Job summary

An established industry player is seeking a talented risk analyst to enhance their European power trading operations. In this role, you will forge strong relationships with the trading business, utilizing your expertise in market risk fundamentals and non-linear products to manage risk effectively. You'll collaborate with quantitative teams to refine pricing and valuation models while ensuring compliance with risk limits. This position offers the opportunity to lead strategic projects and mentor junior team members in a dynamic and inclusive environment. If you're ready to make a significant impact in the power market, this is the role for you.

Qualifications

  • Degree in a related field and significant experience in power market risk.
  • Strong analytical and problem-solving skills with attention to detail.

Responsibilities

  • Develop risk frameworks for complex products and assess risks for new deals.
  • Provide independent advice on risk/return congruence with risk appetite.

Skills

Power market risk experience

Market risk fundamentals

Non-linear products knowledge

Cross commodity market fundamentals

Business analysis skills

Problem-solving skills

Technological orientation

Attention to detail

Communication skills

Creativity

Education

Degree in mathematics

Degree in economics

Degree in engineering

Degree in science

Tools

Endur ETRM

Python

SQL

Job description

What's the role?

In this position, you will have several key responsibilities which will include:
  1. Develop a close relationship with the European power trading business to support new deals and appraise trading activities to ensure mandated exposure and risk limits are adhered to
  2. Use knowledge of European power markets to manage risk identification of model/portfolio assumptions, and market inputs
  3. Collaborate with commercial quantitative teams to progress future pricing, valuation and risk models.
  4. Play a key role in developing the risk frameworks for illiquid, structured and complex products and liaise with the wider Market Risk function and commercial stakeholders to enact
  5. Provide Market Risk input on new and group business proposals as they relate to the business. Assess the risks associated with complex structured deals and the valuation/payoff models used for physical/financial trading and hedging, working to calibrate performance parameters of such deals. (E.g. batteries, dispatch assets, toll structures, optionality)
  6. Lead the execution of key controls for the business area and collaborate with other functions to ensure continuous improvement of controls/processes
  7. Ensure Risk leadership is kept abreast of notable position and market movements
  8. Provide independent advice and guidance on the level of risk/return in the business and whether this is congruent with the agreed level of risk appetite
  9. Performance reporting for management; including but not limited to:
    • Trading strategy P&L performance
    • Net Imbalance Volume analysis (e.g. DA/outturns/imbalance)
    • Forecast accuracy: generation and demand side
    • Limit monitoring
    • Fundamental analysis (e.g. weather impacts, concentration/covariance risk)
  10. Act as a representative for Market Risk on a number of strategic power projects
  11. Develop tools for on-going portfolio reviews and produce "deep dive" analysis for senior management
  12. Drive understanding of the design and utilization of methodologies to assess risk/reward of the portfolio, including: VaR back-testing, stress testing, scenario analysis
  13. Develop and refine the fair economic valuation approach for power deals, factoring in imbalance, shape, and liquidity risks. Provide steer on usage of market risk reserves
  14. Collaborate with other support functions (e.g. Finance, Technical Accounting) for deal support and general portfolio queries
  15. Support internal/external audit requirements
  16. Provide mentoring to junior team members

What we need from you

We're keen to see as many of the following attributes on your CV:
  1. Degree in mathematics, economics, engineering, science or a related field
  2. Significant Power market risk experience with an excellent understanding of market risk fundamentals (P&L, exposure, VaR, stress testing) and modelling concepts
  3. Knowledge of non-linear products (e.g. options), tolling agreements, renewable power, and certificates (GoOs, REGOs)
  4. Cross commodity market fundamentals knowledge
  5. Competent in assessing trading valuations, including critiquing model calibration and parameters
  6. Ability to multi-task with a high level of attention to detail and accuracy
  7. Understanding of Fair Value and derivative recognition concepts
  8. Endur ETRM knowledge preferred, but not essential, experience of ETRM migrations appreciated.
  9. Strong business analysis, modelling, problem-solving skills
  10. Ability to carry out multi-stakeholder projects to fruition while ensuring adequate risk controls are enforced.
  11. Technologically oriented / coding knowledge (Python, SQL)
  12. Ability to perform under rigid deadlines and time pressured environments
  13. A self-motivated team player, who can work remotely as part of a wider global team
  14. Capable of applied creativity and problem-solving
  15. A strong communicator and team player
  16. A broad and agile thinker, with outstanding interpersonal skills that builds trust and credibility

If you don't see yourself fully reflected in every job requirement listed on the posting above, we still encourage you to reach out and apply. Research has shown that not everyone often applies when they do not feel 100% qualified. We are committed to creating a more equitable, inclusive, and diverse company and we strongly encourage applicants of all genders, ages, ethnicities, cultures, abilities, sexual orientation, and life experiences to apply. We look forward to receiving your application.
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