Risk Manager performing market risk analysis for Ørsted’s assets and contracts. Collaborating with stakeholders to maintain dashboards and ensure data quality while using advanced analytical tools.
Responsibilities
Performing exploratory analyses on the energy market risk of Ørsted’s assets and contract structures to explain portfolio risk movements
Maintaining and improving market risk dashboards and ensure timely reporting to stakeholders
Ensuring data quality: reconcile positions and exposures across systems, validate inputs, and document data
Requirements
Hold a master’s in economics, Mathematics, Finance, Data Analytics or similar field of study
Competent in Excel and familiar with SQL, Python, or VBA
Can visualise and communicate complex data clearly using Power BI or other analytical tools
Pay attention to detail and have a structured approach to data validation and documentation
Have a collaborative mindset, curiosity, and willingness to learn energy market risk methodologies
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