Lead Market Risk Analyst
- Own and drive modernization of MVaR and Stress processes
- Improve and develop market risk measurement models and methodologies
- Daily MVaR, Exposures, and Stress Tests: Provide explanation of why these numbers have changed, and interact with Front-Office in understanding the trading strategies underpinning the risk that is being measured
- Deliver timely, rigorous, and accurate reporting and analytics that provide insight into risks of T&S's business activities to support business decision making and strengthen the control environment.
- Monthly calculation on NPVaR and quarterly calculation of NOI: Execution of model, explanation of drivers, and interacting with colleagues to understand the trading strategies relating to the risk.
- Provide market risk input required as part of the process through which new activities and projects considered by the Front Office are being evaluated and approved by GPTI
- Provide constructive challenge to trading activity to ensure it is compliant and aligned to intended trading strategy.
- Work daily with Finance Analytics.
- Interpret T&S's MTM and market risk policies and ensuring their applications in GPTI.
- Strong analytical skills including the ability to understand and communicate sophisticated transactions with embedded optionality as well as assessing the market risk impact of those transactions on an existing portfolio
- Strong numeracy and advanced Excel or Python skills, ability to develop valuation and risk models for wide range of derivatives
- Understand the basic principles of market risk measurement and control as well as familiarity of the alternative methods available to calculate value-at-risk, define appropriate risk factors, account for non- linear instruments,etc.;
- Be familiar with the practical difficulties/limitations of MVaR and other risk measures (volumetric limits, Greeks, etc) either through working in the middle office or a front office role;
- Understands the need for a robust risk management framework in a trading environment. Will know how risk limits should be set and controlled in order to ensure that the organization only takes the risks it is comfortable with;
- Possess a good understanding of the fundamentals of energy trading, including extensive familiarity with derivatives and other trading instruments.
- Wide knowledge of European gas, power and LNG markets and various instruments
- Ability to deploy a variety of communication styles according to the situation and communicate effectively with partners and peers
- Attention to detail and ability to work within a very deadline orientated environment
- Solid understanding of global gas and power market drivers, physical assets, and fundamentals
- Validated experience preferably in LNG or Gas/Power Europe Product Control, Market Risk, or Trading roles
- Professional qualifications in financial analysis, risk management, accounting, or equivalent areas
- Relevant market risk, middle office, or trading experience, acquired working either within BP or at a firm in a related field (energy trading firm, financial institution, etc.).
- Must be a great teammate able to operate within a complex and dynamic trading business. In addition, they must possess the interpersonal, communication and decision-making skills and sound commercial judgment to build credible relationships across T&S.
- The successful candidate will be very articulate and able to communicate complex issues to non-specialists in a concise and clear manner; and use their credibility and integrity to acquire support from the people they connect with.
- Demonstrates a strong focus on delivering solutions in a timely and effective manner with minimum guidance or supervision;
- Exercises judgment and make sound decisions in the face of incomplete data with varying degrees of risk; and
- Knows how to effectively and efficiently handle a variety of tasks, set priorities and measure and anticipate problems in order to accomplish specific priorities, goals and results.
Negligible travel should be expected with this role Relocation Assistance:
This role is not eligible for relocation Remote Type:
This position is a hybrid of office/remote working Skills:
Analytical Thinking, Commercial Acumen, Commodity Risk Management, Communication, Creativity and Innovation, Curiosity, Data visualization and interpretation, Decision Making, Exposure Management, Group Problem Solving, Internal control and compliance, Market Knowledge, Market Risk Management, Operational Risk, Portfolio analytics, Resilience, Thought Leadership, Trade discipline and compliance, Trade execution and management, Trading and shipping data knowledge, Trading knowledge Legal Disclaimer: We are an equal opportunity employer and value diversity at our company. We do not discriminate on the basis of race, religion, color, national origin, sex, gender, gender expression, sexual orientation, age, marital status, socioeconomic status, neurodiversity/neurocognitive functioning, veteran status or disability status. Individuals with an accessibility need may request an adjustment/accommodation related to bp's recruiting process (e.g., accessing the job application, completing required assessments, participating in telephone screenings or interviews, etc.). If you would like to request an adjustment/accommodation related to the recruitment process, please contact us. If you are selected for a position and depending upon your role, your employment may be contingent upon adherence to local policy. This may include pre-placement drug screening, medical review of physical fitness for the role, and background checks.
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