Job Description
We are seeking a seasoned professional to lead our risk management team. As Vice President for Market Risk, Credit Risk, and Quantitative Risk, you will be responsible for developing and implementing holistic risk strategies that align with our company's risk appetite.
Key responsibilities include:
* Developing and implementing risk frameworks that stay abreast of market trends and regulations.
* Providing strong leadership to the Market Risk, Credit Risk, and Quantitative Risk teams.
* Fostering a collaborative culture of continuous improvement and promoting professional development among team members.
* Coordinating materials for Market Committees and communicating risk profiles effectively.
* Overseeing the development and enhancement of risk assessment methodologies and pricing models.
Required Skills and Qualifications
To succeed in this role, you must have:
* Wide experience in risk management, preferably in the energy or commodity industry.
* A deep understanding of trading and portfolio management, with a focus on active risk management.
* A track record of leading and managing risk management teams, with the ability to inspire and motivate team members.
* Talented communication skills, with the ability to convey complex risk-related concepts to diverse stakeholders.
Benefits
As a member of our team, you can expect:
* A competitive salary and benefits package.
* Ongoing training and development opportunities.
* The chance to work with a talented and dynamic team.
Inclusion
We strive to provide equal opportunities for all applicants, including those with disabilities. If you require any accommodations during the application process, please let us know.