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Commodity Risk Management Expert

1 month ago


London, Greater London, United Kingdom Eni Full time
Job Title: Market Risk Manager (Crudes)

About ETB:
Eni is a leading integrated energy company with activities in exploration, production, transport, and marketing of oil and natural gas. With a market capitalization of €51 billion and over €75 billion in turnover, Eni is not only a leading international upstream company but also Europe's largest natural gas company.

Job Responsibilities:
Manage a team of analysts and ensure timely delivery of risk and P&L reports to front office and management. Monitor market conditions, identify potential tail risks, and assess the impact of market events and scenarios on the physical crude oil portfolio. Conduct in-depth analysis of market data, including historical prices, volatilities, and other relevant indicators. Collaborate with internal stakeholders to identify, measure, and manage risk exposures across various business functions.

Requirements:
Bachelor's degree or higher in Finance, Economics, or a related field. Extensive market risk or product control experience in commodity trading, with a focus on physical crude oil and derivatives market. Strong understanding of global commodity markets, including pricing mechanisms, trading dynamics, and risk management practices. Excellent analytical skills, with the ability to interpret complex data, identify patterns, and make data-driven recommendations. In-depth understanding of risk measurement techniques, including value at risk (VaR), stress testing, scenario analysis, and other advanced statistical methodologies.

Location: ETB office at Eni House, London