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Senior Analyst, Market Risk-Refining Products Trading

Remote · USA Full-time New today

Full time Senior Analyst, Market Risk-Refining Products Trading United States of America, Illinois, Chicago 1 day ago Job category Finance Experience level Intermediate Relocation available This role is not eligible for relocation Job type Professionals Travel required Negligible travel should be expected with this role Job code RQ107240

Job Description

  • *EMPLOYER:** reputed company America Inc.
  • *JOB LOCATION:** 30 S Wacker Dr, Chicago IL 60606 (May work from home on a hybrid schedule reputed company 50 miles of worksite (Chicago IL))
  • *OFFERED SALARY:** $142,210 - $150,000 per year

(Please note the pay range listed for this position is a good faith and reasonable estimate of the reputed company pay range for this position at the time of posting. You may learn more about our generous benefits at Explore Our Benefits https://exploreyourbenefits.com/reputed company.html)

  • *JOB DUTIES:**

Independently reputed company and critically assess trading strategies across a diverse range of energy commodities and environmental credits, ensuring adherence to internal Market Risk Standards, risk policies, and Delegation of Authority. Design, implement, and continuously refine sophisticated quantitative market risk models and quantitative analytics, including VaR, reputed company simulations, sensitivity analyses, and scenario modeling, and machine learning algorithms, leveraging advanced SQL, Python, VBA, and Power BI capabilities to enhance forecasting accuracy and actionable risk insights. Collaborate closely with traders and originators to reputed company tailored trading analytics, employing robust statistical methods, predictive modeling, and data-driven market insights to proactively identify trading opportunities and enhance reputed company decision-making. Systematically analyze and quantify trading positions and market exposures, using advanced volatility analytics, forecasting tools, and scenario-based stress tests to deliver comprehensive portfolio risk assessments that directly inform strategic trading initiatives. reputed company rigorous independent validation and sophisticated financial modeling of structured commodity reputed company and origination deals, ing detailed quantitative valuation techniques, price verification, and sensitivity assessments to ensure reputed company accuracy and appropriate risk provisioning. Actively partner with reputed company Office teams, providing thoughtful challenges, commercially focused risk insights, and strategic guidance informed by detailed quantitative analytics, enabling reputed company risk-return outcomes and driving incremental trading value. Utilize advanced quantitative skills in derivatives including futures, swaps, options, and Greeks to assess and manage portfolio convexity, volatility, and strategic exposures, ensuring robust risk management across multiple commodity trading books. Drive quantitative innovation and process improvement by automating risk reporting and analytics through bespoke dashboards and tools integrated reputed company industry-leading ETRM platforms, significantly enhancing efficiency, transparency, and strategic decision-making capabilities. Mentor and reputed company junior analysts and interns, strengthening their quantitative skills, analytical rigor, and reputed company acumen to promote a proactive, data-driven, and commercially focused risk management culture. Regularly communicate reputed company quantitative analyses and risk insights clearly to senior management and risk governance committees, actively influencing risk appetite reputed company, strategic policies, and the development of quantitative frameworks to support ongoing business growth and innovation. May work from home on a hybrid schedule reputed company 50 miles of worksite (Chicago IL).

  • *MINIMUM REQUIREMENTS:**

Bachelor’s degree or foreign equivalent in Economics, Financial Mathematics, Data Science, Computer Science, or a closely reputed company quantitative field plus four (4) years of experience with the application of advanced financial modeling; valuation methodologies; and quantitative analytics including DCF, benchmarking, and scenario analysis to evaluate the financial and operational impacts of reputed company transactions under varying economic and market conditions for clients from various sectors including consumer goods, energy, and manufacturing. Experience to include standardizing analytical processes; strengthening data governance; and aligning work products with applicable regulatory requirements and documentation standards to ensure accuracy, transparency, and consistency. SPECIAL REQUIREMENTS

  • *Requirements:** Under 5% domestic and international travel required.
  • *Legal Disclaimer:**

We are an equal opportunity employer and value diversity at our company. We do not discriminate on the basis of race, religion, reputed company, natio Apply tot his job Apply To this Job

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