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Commodity Market Risk Manager

2 months ago


London, Greater London, United Kingdom ING Full time
Job Title: Commodity Market Risk Manager

ING is a family-friendly organization offering a flexible, hybrid working pattern. The Trading Risk Management Team is office-based a minimum of 3 days per week.

Job Summary

This role is part of the TRM (Trading Risk Management) department, which is responsible for the market risk and product control function. The team measures and analyzes market risk and trading performance across various financial products. As a Commodity Market Risk Manager, you will be responsible for end-to-end product control, including daily P&L reporting and balance sheet reconciliation.

Main Responsibilities
  1. Responsible for end-to-end product control process, including the preparation of daily P&L reporting and balance sheet reconciliation
  2. Production and in-depth analysis of daily and longer-term profit and loss (P&L)
  3. Understanding and explaining the content of the reporting to Front Office and senior management
  4. Monitoring, analyzing, and reporting the organization's market risk exposure on a day-to-day and long-term basis for the Commodities desk
  5. Preparation of independent price verification, prudent valuation, and model reserves on a monthly basis
  6. Involvement in local and global projects to implement changes in systems and regulations
  7. Monitoring trading limits and reviewing transactions over the established limits
  8. Continuously engaging with Front Office to keep up to date with their trading strategy, challenging where appropriate on limit breaches, pricing, and strategy
  9. Coordination with the Global Market Data team (GMDB), Trading Application Support, System Support, and other teams to set up new market data sources and to help resolve market data-related issues
  10. Execution of the global valuation adjustment framework for the Commodity asset class
Requirements

Essential:

  • University Degree (2:1 or above) in a quantitative field, preferably (financial) mathematics, engineering, physics, or econometrics
  • 3+ years of experience in the financial industry
  • Experience in product control and/or market risk management
  • Previous experience of product control of commodities within an investment bank

Desirable:

  • An understanding and working knowledge of VaR
  • Experience working on regulatory change. FRTB, TRIM, Interaction with Regulators
  • Experience in market data and associated challenges for Commodities
  • In-depth product knowledge of Commodities, Commodity derivatives, and associated pricing models
  • Strong technical skills in SQL, VBA, and Python
Personal Competencies

Essential:

  • Excellent analytical and problem-solving skills
  • Good communicator with attention to detail, pro-active, autonomous, as well as ability to summarize
  • Strong team player with ability to work successfully with cross-functional, geographically dispersed teams
  • Ability to work with FO and understand the business perspective of key projects
  • Flexible approach to role and responsibilities
  • Ability to manage multiple tasks at the same time
  • Comfortable working with complex technical processes and analysis of large data sets

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