This position offers an excellent opportunity for a Finance professional skilled in risk management, treasury functions, compliance and accounting to work in a fast-paced, highly regulated environment. It also provides exposure to senior leadership and strategic decision-making processes.
Key Responsibilities
1. Commodity Risk Reporting and Analysis
2. Prepare daily risk reports summarizing commodity positions
3. Identify policy breaches and support real-time commercial decisions
4. Perform month-end mark-to-market reporting and hedging journal preparation
5. Manage cash flow and forecast treasury activities per group policies
6. Advise senior management on foreign exchange (FX) risk
7. Execute FX trades when necessary
8. Own and maintain the company's Risk Register
9. Develop and align Enterprise Risk Management (ERM) policies
10. Organize and present at Risk Committee meetings
11. Generate KPI reports on trade activities and contract data accuracy
12. Work closely with traders and back-office functions to ensure timely information capture
13. Compliance Responsibilities
Key Skills & Attributes:
1. Technical Finance Expertise: Proficient in commodity risk, hedging, and treasury management
2. Analytical Thinking: Ability to process and present complex risk exposures clearly for informed decision-making
3. Compliance Knowledge: Familiarity with industry-specific safety and quality standards
4. Collaborative Teamwork: Acts as a liaison between front office traders, back-office functions, and senior management
5. Attention to Detail: Ensures accuracy in contract information, risk registers, and reporting
Please apply using the links below to secure this great opportunity today!
#J-18808-Ljbffr