Risk/Middle Office Analyst
BGN · Dubai, United Arab Emirates
Apply & track with Apply EdgeThis role serves as a critical link between all stakeholders on the trading floor, ensuring the integrity of our oil and refined products trading portfolios, where precision and a proactive approach to risk are essential. You will be responsible for the end-to-end accuracy of Trade Validation, Cost Economics, Position monitoring, and Daily P&L.Key ResponsibilitiesP&L & Exposure Reporting: Produce and validate daily P&L and market risk exposure, providing clear attribution of daily gains and losses.Trade Lifecycle Control: Ensure all physical and financial trades are accurately recorded in the ETRM system, including secondary costs like freight, storage, demurrage, insurance, etc.Position Monitoring: Maintain a real-time view of the "Greeks" (Delta, Spread, Basis) and monitor trading activity against established risk limits.Inventory & Hedging: Reconcile physical stock levels with financial hedges to ensure the portfolio is accurately protected against price volatility.Process Improvement: Identify and implement automation in reporting workflows and support the enhancement of CTRM/ETRM data integrity.Stakeholder Collaboration: Liaise daily with Traders, Operations, and Finance to resolve price discrepancies and settlement breaks.Skills & ExperienceExperience: 3-4 years of experience in Risk within the energy trading sector.Education: University degree in Finance, Economics, Mathematics, or a related quantitative field.Market Knowledge: Solid understanding of physical oil markets, hedging instruments (Swaps/Futures), and benchmark pricing.
Technical Skills
High proficiency in Excel; experience with ETRM systems is essential.Analytical Mindset: Strong attention to detail with the ability to spot anomalies in complex data sets under tight deadlines.Communication: Fluent in English with the ability to communicate confidently with the trading floor.The OpportunityJoin a dynamic team in Dubai’s thriving energy hub. This role offers the opportunity to develop a deep understanding of physical energy commodity flows and risk management strategies within a fast-growing global trading environment.