Power & Gas Trading Risk Manager
Power & Gas Trading Risk Manager

Power & Gas Trading Risk Manager

London Full-Time 43200 - 72000 ÂŁ / year (est.) No home office possible
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At a Glance

  • Tasks: Lead risk management for Gas and Power Trading, ensuring efficient risk-taking and portfolio construction.
  • Company: Point72 is a top global investment firm focused on delivering superior returns through innovative strategies.
  • Benefits: Enjoy career growth, personal development, and a culture that rewards creativity and integrity.
  • Why this job: Join a dynamic team dedicated to enhancing risk management and making impactful investment decisions.
  • Qualifications: Five years of experience in risk or portfolio management with strong analytical and communication skills.
  • Other info: Opportunity to mentor Quantitative Analysts and collaborate with senior management.

The predicted salary is between 43200 - 72000 ÂŁ per year.

Join to apply for the Power & Gas Trading Risk Manager role at Point72

Join to apply for the Power & Gas Trading Risk Manager role at Point72

About:

Point72 Asset Management is seeking a Risk Manager specialized in Gas and Power Trading to join our Risk Management & Quantitative Research (RQR) team.

The RQR team plays a vital role in the firm’s investment process, building a deeply rooted culture of efficient risk management and factful performance attribution. Risk managers will lead research efforts to identify opportunities for improved risk management, investment behavior, and portfolio construction, with the goal of helping the firm deliver superior risk-adjusted performance. The paramount mission of the team is to protect the firm from excessive levels of exposure and ensure that risk-taking is efficient and deliberate.

The Risk Manager will:

  • Focus on the risk and activities of all Gas and Power Trading PMs as well as overall such risk across the Global Macro and Cubist Macro businesses. More specifically, this includes:
  • Identifying, capturing, and communicating material risks of the business, including credit, tail risk, liquidity, and convexity.
  • Ensuring that risk-taking at the individual portfolio level and at the firm level is efficient and deliberate, by setting appropriate risk guidelines and limits.
  • Developing and advancing stress testing and VaR frameworks.
  • Developing and maintaining a framework for capital allocation to maximize risk-adjusted returns and profitability at the various business levels and at the firm level.
  • Actively managing the firm’s risk exposures through regular meetings, analysis and insights.
  • Leading research efforts to develop innovative risk management approaches, tools and analytics by leveraging the collective knowledge of the platform. The goal is to enhance the quality of performance and improve the firm’s risk-adjusted return.
  • Enhancing management’s understanding of investment performance by developing intuitive and efficient frameworks for performance attribution and educating all internal constituencies on those frameworks.
  • Provide additional support with other risk managers in managing the market risk across the Macro business.
  • Manage and mentor Quantitative Analysts on the team.
  • We seek candidates with:

    • Five or more years of experience as a risk manager or a portfolio manager, directly related to US and European power & gas products.
    • Solid energy product knowledge and analytical rigor in terms of pricing models, risk sensitivities and the best practice for risk aggregation in a portfolio context
    • Detailed understanding of risk management, portfolio construction, and trading.
    • High level of proficiency in SQL and quantitative programming (e.g. Python, MATLAB, R); experienced in dealing with large data sets.
    • Strong communication skills and prior experience interacting with portfolio managers.
    • The ability to manage multiple tasks independently and deadlines in a fast-paced environment.
    • Ability to proactively seek new ideas and solution to improve the status quo.
    • Ability to work cooperatively with all levels of staff as part of a team.
    • Excellent interpersonal skills and “emotional intelligence” – we seek a demonstrated ability to build relationships both internally and externally.
    • Strong communication skills – an ability to clearly and concisely articulate complex ideas to senior management and portfolio managers is critical.
    • A commitment to the highest ethical standards and to act with professionalism and integrity.

    Point72 offers substantial career opportunities:

    • We are a workplace where performance and integrity go hand in hand
    • We are committed to personal and professional development
    • We expect and reward innovation and creativity
    • We create opportunities for long-term careers
    • We measure success by the merits of the work, its quality and the results obtained

    Point72 is a leading global alternative investment firm led by Steven A. Cohen. Building on more than 30 years of investing experience, Point72 seeks to deliver superior returns for its investors through fundamental and systematic investing strategies across asset classes and geographies. We aim to attract and retain the industry’s brightest talent by cultivating an investor-led culture and committing to our people’s long-term growth.

    Seniority level

    • Seniority level

      Mid-Senior level

    Employment type

    • Employment type

      Full-time

    Job function

    • Job function

      Finance and Sales

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    Contact Detail:

    Point72 Recruiting Team

    StudySmarter Expert Advice 🤫

    We think this is how you could land Power & Gas Trading Risk Manager

    ✨Tip Number 1

    Familiarise yourself with the latest trends and developments in gas and power trading. This will not only help you understand the market better but also allow you to engage in informed discussions during interviews, showcasing your expertise and enthusiasm for the role.

    ✨Tip Number 2

    Network with professionals in the risk management field, particularly those who specialise in energy products. Attend industry conferences or webinars to connect with potential colleagues and learn about their experiences, which can provide valuable insights and possibly lead to referrals.

    ✨Tip Number 3

    Brush up on your SQL and quantitative programming skills, as these are crucial for the role. Consider working on personal projects or contributing to open-source initiatives that involve large data sets, which can demonstrate your technical abilities and commitment to continuous learning.

    ✨Tip Number 4

    Prepare to discuss your previous experiences in risk management and portfolio construction in detail. Be ready to share specific examples of how you've identified and mitigated risks, as well as how you've contributed to improving performance attribution frameworks in past roles.

    We think you need these skills to ace Power & Gas Trading Risk Manager

    Risk Management
    Portfolio Construction
    Energy Product Knowledge
    Analytical Skills
    SQL Proficiency
    Quantitative Programming (Python, MATLAB, R)
    Data Analysis
    Stress Testing
    Value at Risk (VaR) Frameworks
    Performance Attribution
    Communication Skills
    Interpersonal Skills
    Emotional Intelligence
    Problem-Solving Skills
    Team Collaboration
    Time Management
    Ethical Standards

    Some tips for your application 🫡

    Tailor Your CV: Make sure your CV highlights relevant experience in risk management, particularly in gas and power trading. Emphasise your analytical skills and any specific projects that demonstrate your ability to manage risks effectively.

    Craft a Compelling Cover Letter: In your cover letter, explain why you are passionate about risk management in the energy sector. Mention specific experiences that align with the responsibilities outlined in the job description, such as developing stress testing frameworks or managing risk exposures.

    Showcase Technical Skills: Clearly outline your proficiency in SQL and quantitative programming languages like Python or R. Provide examples of how you've used these skills to analyse large data sets or develop risk management tools in previous roles.

    Demonstrate Communication Skills: Highlight your ability to communicate complex ideas clearly. Include examples of how you've successfully interacted with portfolio managers or senior management to convey risk assessments or performance attribution frameworks.

    How to prepare for a job interview at Point72

    ✨Showcase Your Technical Skills

    Make sure to highlight your proficiency in SQL and quantitative programming languages like Python, MATLAB, or R. Be prepared to discuss how you've used these skills to analyse large data sets and develop risk management frameworks in your previous roles.

    ✨Demonstrate Your Risk Management Knowledge

    Familiarise yourself with the specific risks associated with gas and power trading. Be ready to discuss your experience with credit, tail risk, liquidity, and convexity, and how you have effectively managed these risks in past positions.

    ✨Prepare for Scenario-Based Questions

    Expect questions that assess your ability to handle real-world scenarios related to risk management. Think about past experiences where you identified material risks or developed innovative solutions, and be ready to share those examples.

    ✨Communicate Clearly and Effectively

    Strong communication skills are crucial for this role. Practice articulating complex ideas clearly and concisely, especially when discussing your approach to performance attribution and risk assessment. Tailor your communication style to suit both technical and non-technical audiences.

    Power & Gas Trading Risk Manager
    Point72
    Location: London

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