Risk Manager
All candidates should make sure to read the following job description and information carefully before applying.
Power and Gas
Commodities Hedge Fund
Onsite, London
My client is a high performing recently founded commodities hedge fund looking for a senior risk manager with experience across commodities trading desks.
This role will involve:
* Working closely with all commodity traders across power, gas, metals, ags, oil etc to develop risk-reducing strategies, inform them of potential market risks and manage risk
* Report into the Chief Investment Officer to report on exposure, market confidence and internal coverage within the fund
* Develop quantitative models including VaR, stress testing, scenario analysis and report results to senior partners
I am looking for:
* 3-8 years experience on a gas/power/cross commodity trading desk owning risk
* Stellar academics including degree in a STEM or mathematical subject from a top tier university
* Strong communicator, headstrong, and motivated to build on their career
If this sounds like a good fit for you reach out to kate.jenkinson@harringtonstarr.com with your CV or an overview of your experience.