We are currently looking for an experienced Risk Manager to join a global oil and energy company. This position will be based within the Belgium office. The role will be ideal for somebody with high aspirations for their future career prospects.
Ideally, you will have strong previous experience within either the energy, commodities or finance markets; with a number of years within risk analysis. You will be expected to implement risk reducing strategies; manage the position of your portfolio by carrying out checks and using the correct systems to do so; and finally liaise with both traders and the middle-office.
You will need to easily be able to work with large amounts of data, with a deep understanding of Excel as a priority. Previous use of VBA, Python and Matlab is advantageous - but not a necessity.
For more information on this opportunity, please apply above or contact Sarah Ging (firstname.lastname@example.org).