Risk Management Analyst

AEP

Base: $74,551.00 - $93,188.50; bonus/equity: not s...
Profit/loss and position reporting
Margin account reconciliation
Commodity portfolio analysis
The Risk Management Analyst supports day-to-day risk control and strategic hedging by producing timely position and profit/loss reporting across the unregulated portfolio to inform trading, origination, and commercial decisions

Job Summary

  • The Risk Management Analyst supports day-to-day risk control and strategic hedging by producing timely position and profit/loss reporting across the unregulated portfolio to inform trading, origination, and commercial decisions.
  • At AEP, we’re more than just an energy company! We’re a team of dedicated professionals committed to delivering safe, reliable, and innovative energy solutions.
  • This position will require some late nights to meet business demands (past 6:00 p.m.).

Matching Summary

The Risk Management Analyst supports day-to-day risk control and strategic hedging by producing timely position and profit/loss reporting across the unregulated portfolio to inform trading, origination, and commercial decisions.

Salary

Base: $74,551.00 - $93,188.50; Bonus/Equity: Not specified; Benefits: Not specified

Skills & Requirements

Must-have

  • Profit/Loss and position reporting
  • Margin account reconciliation
  • Commodity portfolio analysis
  • Sarbanes Oxley compliance
  • Automate reconciliations and reporting

Nice-to-have

  • Intermediate Excel skills
  • SQL and Power Query
  • Communicate complex issues
  • Fast-paced dynamic environment

Key Requirements

  • Bachelor's degree in Finance, Accounting, Economics, Math
  • 1-2 years experience in Portfolio Margin Analyst
  • Equivalent experience in trading, forecasting or modeling

Work Rights

Not specified

Tailored Resume

Cover Letter