SALTHILL GROUP INC
A national integrated energy provider with wholesale power generation and retail load management is searching for a Market Risk Manager to oversee market risk activities for its retail power and gas portfolios. This newly created position will focus on complex Corporate & Industrial (C&I) contracts across several US states, including the Midwest and Northeast markets. Initial responsibilities include integrating a newly acquired retail natural gas portfolio and establishing a strong risk management framework across both financial and physical activities for the complete retail business. The team is expected to grow as the retail business expands.
Responsibilities
Risk Management & Analysis:
Monitor and report on daily market risk exposures, including time and location spreads, cross-commodity arbitrage, options, and hedging activity against approved limits. Reconcile, report, and explain the daily PnL, and perform independent price verification of pricing curves.
Portfolio Management:
Monitor position limits across portfolios and analyze performance.
Reporting & Communication:
Prepare and communicate reports for internal stakeholders.
Qualifications Educational and professional requirements include a Bachelor’s degree in Finance or related field; 5+ years in a market risk or product control role supporting both power & gas portfolios, including experience with project management, system integration, and process development; strong knowledge of both retail and wholesale power & gas markets and a strong understanding of physical and financial trading; strong technical skills including Excel (Python skills is a plus); and strong analytical and communication skills.
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Responsibilities
Risk Management & Analysis:
Monitor and report on daily market risk exposures, including time and location spreads, cross-commodity arbitrage, options, and hedging activity against approved limits. Reconcile, report, and explain the daily PnL, and perform independent price verification of pricing curves.
Portfolio Management:
Monitor position limits across portfolios and analyze performance.
Reporting & Communication:
Prepare and communicate reports for internal stakeholders.
Qualifications Educational and professional requirements include a Bachelor’s degree in Finance or related field; 5+ years in a market risk or product control role supporting both power & gas portfolios, including experience with project management, system integration, and process development; strong knowledge of both retail and wholesale power & gas markets and a strong understanding of physical and financial trading; strong technical skills including Excel (Python skills is a plus); and strong analytical and communication skills.
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