Senior Risk Manager responsible for risk management and pricing in energy sector. Involves analysis of market and credit risks and supporting price calculations.
Responsibilities
Monitor and analyze market, credit and liquidity risks across all GETEC platforms
Coordinate risk committees and provide relevant inputs
Assist in maintaining policies and procedure documents related to commodity risks
Participate in price calculations and review data quality
Contribute to the further development of the price calculation system
Support the implementation of team models for risk management and pricing
Requirements
Master’s degree in a quantitative field
At least 5 years of experience in market, credit and/or liquidity risk management and pricing in the energy sector
Programming skills (e.g., Python, C# or other object-oriented languages)
Experience in quantitative development, analysis and/or modelling in energy markets or risk management is an advantage
Fluent in English; German skills are a plus
Strong analytical skills and a hands-on approach to working with complex data
Benefits
Flexible working hours with flextime
30 days of annual leave
Subsidy for the Deutschlandticket to support sustainable commuting
Company bike scheme (Jobrad) for fitness and environmental protection
Access to fitness and wellness facilities via Hansefit
Free access to LinkedIn Learning for professional development
A variety of internal and external training and coaching opportunities
Agile working methods and modern office concepts
Access to various discounts via the Corporate Benefits portal
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