Risk Manager identifying and analyzing energy market risks related to Ørsted’s US portfolio. Collaborating with teams in the US and Denmark to enhance risk management capabilities.
Responsibilities
identify and analyse energy market risk related to Ørsted’s hedge portfolio and our US fleet of onshore wind, solar and battery assets
make use of analytical, technical, and visual skillsets to translate risk on asset, portfolio and company level into actionable insights
responsible for risk management of our US portfolio and middle office support to our trading team in Chicago
work closely together with colleagues in both the US and Denmark to identify risk in existing and new market areas
develop risk management capabilities
contribute to daily risk management activities to ensure high-quality data and up-to-date systems
Requirements
hold a bachelor degree in Economics, Finance, Mathematics, Data Analytics or similar field of study
thrive by working in an analytically complex and dynamic work environment
are proficient in Excel and at least one of the following applications/languages: SQL, Python or VBA
have a creative and visual mindset that goes beyond the standard charts in Excel and an eye for creating storylines that resonate
are outgoing, proactive, and keen on collaborating with colleagues both in-person and remotely
embrace working in a dynamic work environment, as Ørsted is currently undergoing significant changes
Benefits
fully paid family insurance coverage for health, life, dental, and vision
flexible spending accounts
health savings accounts
short- and long-term disability insurance
an Employee Assistance Program
18 weeks of parental leave with an additional short-term disability benefit of 6-8 weeks
a 401K retirement savings plan with up to 5% employer match
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