Market Risk Manager - Commodities Job in London

Market Risk Manager - Commodities Job in London

London Full-Time 85500 - 104500 Β£ / year (est.) No working from home possible
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At a Glance

  • Tasks: Oversee market risk in commodities trading and analyse complex financial products.
  • Company: Leading global financial services organisation with a dynamic risk management team.
  • Benefits: Competitive salary, diverse work environment, and opportunities for professional growth.
  • Other info: Encourages diverse applicants and offers support for the application process.
  • Why this job: Join a high-profile team and influence risk oversight in a fast-paced trading environment.
  • Qualifications: 7-12+ years in Market Risk Management with strong analytical skills.

The predicted salary is between 85500 - 104500 Β£ per year.

Specialisms: VP – Market Risk Manager – CommoditiesA leading global financial services organisation is seeking an experienced Market Risk Manager (VP level) to join its London-based Risk Management function. The focus will be on Commodities, paper and physical across a range of products including Oil, Energy and Agri in addition to complimentary derivatives.This is a high-profile opportunity to join a growing global team responsible for overseeing market and clearing risk across a broad range of capital markets activities, with a strong focus on commodities products.The role offers significant interaction with front office trading teams, senior risk leadership, and key stakeholders across the business, providing both strategic exposure and hands-on involvement in complex risk management initiatives.Key ResponsibilitiesProvide independent market risk oversight across capital markets and commodities trading desks.Monitor and analyse bilateral and cleared trading exposures across a range of derivative and structured products.Review and challenge key risk metrics including VaR, stress testing, scenario analysis, sensitivities, and Greeks.Partner with trading, structuring, finance, and model/risk methodology teams to ensure robust risk governance.Support oversight of cleared products, margin methodologies, and capital/liquidity impacts.Contribute to risk appetite frameworks, limit monitoring, and escalation processes.Participate in new product approval processes and assess risks associated with structured transactions and complex trading activity.Deliver clear and concise reporting to senior management and global risk committees.Candidate Requirements7–12+ years of experience within Market Risk Management.Strong knowledge of commodities markets and associated derivative products.Experience with market risk methodologies including VaR, stress testing, and scenario analysis.Excellent analytical, quantitative, and communication skills.Ability to engage effectively with senior stakeholders and front office teams.Experience working within investment banks, broker-dealers, commodity trading firms, or similar financial institutions preferred.Exposure to Python, SQL, or VBA would be advantageous.The OpportunityThis role offers the chance to join a highly visible and commercially engaged risk team within a dynamic global organisation. The successful candidate will gain broad product exposure, strong senior stakeholder interaction, and the opportunity to influence risk oversight within a fast-paced trading environment.For a confidential discussion, please apply directly or contact us for further information.We seek individuals from a diverse talent pool and encourage applicants from underrepresented groups to apply to our vacancies. Our commitment to fair recruitment processes means that we welcome applicants from all backgrounds, regardless of their lived experience or personal characteristics. We also invite applicants who meet most of the listed requirements, even if not all, to apply. If you require any adjustments to the application process, please let us know.Barclay Simpson acts as an Employment Agency for permanent positions and an Employment Business for temporary/contract engagements.

Market Risk Manager - Commodities Job in London employer: Barclay Simpson Corporate Governance Recruitment

Join a leading global financial services organisation in London as a Market Risk Manager, where you will be part of a dynamic and growing risk management team. The company fosters a collaborative work culture that values diversity and offers significant opportunities for professional growth and development, allowing you to engage with senior stakeholders and influence key risk oversight initiatives in a fast-paced trading environment. With a strong commitment to fair recruitment processes, this role not only provides exposure to a wide range of commodities products but also supports a meaningful career path in the financial sector.

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Contact Details:

Barclay Simpson Corporate Governance Recruitment Recruitment Team

We think you need these skills to ace Market Risk Manager - Commodities Job in London

Market Risk Management
Commodities Knowledge
Derivatives Expertise
VaR (Value at Risk)
Stress Testing
Scenario Analysis
Quantitative Analysis