Commodity Risk Lead - Product Control

BP Retail UK

Budapest, Hungary
Not specified; bonus opportunities based on perfor...
Hybrid
Bachelor's degree in finance or economics
Experience in finance or trading domains
Fluency in english language required
The role is responsible for creating high-quality, automated management information and ensuring transparency in deal structures

Job Summary

  • The role is responsible for creating high-quality, automated management information and ensuring transparency in deal structures.
  • Candidates must independently understand trading strategies to identify and mitigate financial, operational, and reputational risks.
  • The company offers a hybrid work schedule allowing up to two days of home office per week along with comprehensive benefits.

Matching Summary

The role is responsible for creating high-quality, automated management information and ensuring transparency in deal structures.

Salary

Not specified; Bonus opportunities based on performance; Wide range of cafeteria elements and life/health insurance included

Skills & Requirements

Must-have

  • Bachelor's degree in finance or economics
  • Experience in finance or trading domains
  • Fluency in English language required
  • Knowledge of commodity risk strategies
  • Ability to validate deal structures and MTM

Nice-to-have

  • Proficiency with PowerBI data visualization
  • Strong commercial focus and acumen
  • Experience with global process standardization
  • Collaborative mindset across regions
  • Understanding of exchange-related activities

Key Requirements

  • Bachelor's Degree in Finance, Economics, or Business
  • Relevant years of experience in Finance or Trading
  • Fluency in English

Work Rights

Not specified

Tailored Resume

Cover Letter