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Posted 5 days, 4 hours ago Active

Market Risk Analyst

  • Brussels, United Kingdom (Hybrid)
  • JOB TYPE Permanent
  • JOB TYPE Risk & Middle Office
  • TBC

Senior Market Risk Analyst – European Gas Trading

 

? Paris | Hybrid Working

 

The Opportunity

A major European energy trading platform is looking to hire a Senior Market Risk Analyst to support its expanding gas and low-carbon portfolio.

 

The business operates across physical gas, structured contracts, supply portfolios, storage & transport optimisation, and increasingly in new transition markets such as hydrogen and biomethane. The risk team plays a central role in balancing commercial performance with disciplined risk governance.

 

This is a visible role with regular interaction with senior leadership and trading teams.

 

What You’ll Be Doing

You will take ownership of market risk oversight across a broad European gas perimeter, covering both traditional and evolving activities.

 

Your responsibilities will include:

  • Daily monitoring of market exposures, limits and risk concentrations
  • Production of risk reporting for senior management
  • Independent analysis of trading positions and structured portfolios
  • Preparation of performance and risk presentations for Risk Committees
  • Assessment of valuation adjustments and risk reserves
  • Contributing to governance around new products and structured transactions
  • Supporting enhancements to risk methodologies and models
  • Working closely with Front Office, Finance, Analytics and IT teams

 

The role combines hands-on analytics with strategic exposure to decision-making forums.

 

You’ll gain exposure to:

  • Gas supply portfolios (B2B & B2C)
  • Storage and transport optimisation
  • Long-term contractual positions
  • Weather-related exposure
  • Value-driven and quantitative trading strategies
  • Development of frameworks for emerging energy markets

 

This is a dynamic and evolving perimeter, offering both technical depth and strategic breadth.

Who We’re Looking For

 

Experience

  • 3–5 years in Market Risk (commodities, energy or banking)
  • Strong understanding of physical gas and/or power markets preferred

Technical Skills

  • Strong command of VaR, stress testing and liquidity risk concepts
  • Solid quantitative background
  • Python proficiency required
  • Familiarity with ETRM systems is advantageous
  • Experience with reporting tools (e.g. Power BI) and data handling

Personal Attributes

  • Confident engaging with traders and senior stakeholders
  • Able to challenge constructively and provide independent judgement
  • Analytical, structured and pragmatic
  • Comfortable working in a fast-moving trading environment
  • Fluent English required

Disclaimer:

RJC Group