Finance and Risk Analyst managing market risk and product validation in a hybrid role. Contributing to the future of renewable energies at a major virtual power plant in Germany with flexible work options.
Responsibilities
Unabhängige Überprüfung unserer Produkte und der Prozesse dahinter
Analyse bestehender sowie neuer Produkte hinsichtlich Wirtschaftlichkeit und Marktrisiko
Enge Zusammenarbeit mit Controlling und Trading bei Reporting und Risikomanagement
Überwachung der Handelslimits und kontinuierliche Weiterentwicklung unseres Risikomanagementhandbuchs
Erstellung von Ad-hoc-Analysen und wiederkehrenden Reports für das Management und das Risk Committee
Requirements
Abgeschlossenes Wirtschafts-, Ingenieurs- oder naturwissenschaftliches Studium
Mehrjährige Erfahrung im Bereich Energiewirtschaft, Marktrisiko oder Risikomanagement
Sicheres Kommunizieren auf Deutsch und Englisch, sowohl mündlich als auch schriftlich
Fundierte Kenntnisse über Marktrisiken, Erfahrung mit VaR-Berechnungen und Stresstests
Sicherer Umgang mit MS-Office-Produkten
Programmierkenntnisse in Python oder ähnlichen Programmiersprachen
Analytisches Denken, idealerweise Erfahrung mit statistischen Methoden und Kennzahlen
Benefits
Hybrides und flexibles Arbeiten inkl. Homeoffice-Ausstattung
Die Möglichkeit, mit unserem Flextime-Arbeitsmodell zusätzliche Urlaubstage aufzusparen und flexibel zu nutzen
Umfassende Weiterentwicklungsmöglichkeiten wie z.B. Sprachkurse, Coachings und Schulungen
Jobrad und Deutschlandticket
Sportangebote wie z.B. Urban Sports Club, Yogakurse
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