b Overview /b p As Risk Manager in the Energy Commodities (2LoD) team, you partner with Front Office to identify, assess and challenge operational risks in line with the firm’s risk appetite. You will embed a proactive risk culture, support business growth, and provide independent risk oversight to inform senior leadership decisions. You will lead core risk processes, deliver insightful risk reporting, and ensure controls are proportionate and effective. This high-visibility role offers the chance to shape risk management in a fast-paced, revenue-generating environment. You will work closely with senior stakeholders to balance risk discipline with commercial outcomes and drive robust risk governance. /p b Responsibilities /b ul li Act as a trusted 2LoD risk partner to the E C Front Office with independent oversight /li li Build relationships with senior stakeholders to embed risk into day-to-day decisions /li li Advise on risk appetite, acceptances, and control frameworks aligning regulatory and commercial objectives /li li Identify, assess, and challenge material operational risks across BAU, initiatives, and change programmes /li li Lead core risk processes: RCSA, scenario analysis and stress testing, root cause analysis of risk events /li li Ensure risks are clearly articulated, measured, and escalated appropriately /li li Provide independent oversight of control effectiveness, policies, and remediation plans /li li Challenge business controls for proportionality, effectiveness, and sustainability /li li Monitor and drive closure of risk issues with accountable remediation /li li Support new business activities, product launches, and transformation from a risk perspective /li li Embed risk considerations early in project lifecycles to avoid downstream exposure /li li Partner with stakeholders to balance risk discipline with commercial outcomes /li li Deliver high-quality risk MI and insights to senior management and governance forums /li li Translate risk data into clear, actionable insights for leaders /li li Support regulatory and internal reporting requirements /li li Oversee incident management, policy breaches, and risk events /li li Ensure root cause analysis and lessons learned are captured /li li Support business continuity and resilience planning /li li Promote a practical risk culture via engagement, training, and coaching /li li Deliver targeted training to enhance risk awareness within Front Office teams /li li Act as a role model for balanced, commercially aware risk management /li /ul b Key requirements /b ul li Proven experience in Operational Risk within financial services /li li Understanding of risk frameworks, governance, and regulatory expectations /li li Experience working with Front Office/revenue-generating businesses /li li Ability to influence risk decisions in a fast-paced environment /li li Experience in Energy Commodities and/or Capital Markets /li li Prior 2LoD experience /li li Familiarity with market conduct, trading risks, and broking environments /li /ul ul li Credibility with senior stakeholders /li li Constructive, pragmatic challenging style /li li Clear communicator to both technical and non-technical audiences /li li Operational Risk frameworks and governance /li li RCSA, scenario analysis, stress testing /li li Incident management and root cause analysis /li /ul
Risk Manager - Energy & Commodities employer: Liquidnet
At TP ICAP, we pride ourselves on being a leading employer in the financial services sector, offering a dynamic work environment that fosters innovation and collaboration. Our commitment to employee growth is evident through comprehensive training programmes and opportunities for career advancement, all while promoting a culture of inclusivity and diversity. Located in London, our global presence allows employees to engage with a wide range of markets and clients, making every day at TP ICAP both meaningful and rewarding.