Not specified; not specified; competitive pyy + be...
4d onsite
5+ years financial or energy risk management experience
Strong understanding of commodity trading markets
Proficiency in options greeks and derivatives pricing
The role provides strategic credit risk management and commodity-based risk controls to protect the financial integrity of Chevron's global trading operations
Job Summary
The role provides strategic credit risk management and commodity-based risk controls to protect the financial integrity of Chevron's global trading operations.
This position involves daily risk reporting, VaR modeling, and challenging front office hedging strategies within a collaborative team environment.
Chevron offers competitive pay, benefits, and advancement opportunities for career-minded individuals committed to continuous learning and development.
Matching Summary
The role provides strategic credit risk management and commodity-based risk controls to protect the financial integrity of Chevron's global trading operations.
Salary
Not specified; Not specified; Competitive pay and benefits mentioned
Skills & Requirements
Must-have
5+ years financial or energy risk management experience
Strong understanding of commodity trading markets
Proficiency in Options Greeks and derivatives pricing
Experience with Value at Risk (VaR) modeling
Knowledge of crude oil, gas, and refined products
Nice-to-have
Interest in energy transition and emerging business
Experience with ETRM software platforms like Endur
Ability to design data visualization tools
Collaborative work behaviors in multi-discipline teams
Proactive problem-solving with minimal supervision
Key Requirements
Bachelor's degree in Finance, Economics, Mathematics, Statistics, Science, or Engineering
5+ years of relevant experience in financial or energy risk management
No visa sponsorship available; expatriate assignments not considered
Work Rights
Must have right to work in UK; no visa sponsorship provided