Hybrid Risk Manager

Posted 3 weeks ago

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About the role

  • Risk Manager analyzing energy market risks associated with Ørsted’s assets and contracts. Performing data analyses and improving reporting systems in a collaborative environment.

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 ensuring 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 at least one of the following languages: SQL, Python, or VBA
  • Can visualize 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
  • Embrace working in a dynamic work environment

Benefits

  • Flexible working arrangements
  • Professional development opportunities

Job title

Risk Manager

Job type

Experience level

Mid levelSenior

Salary

Not specified

Degree requirement

Postgraduate Degree

Tech skills

Location requirements

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