Commodity Risk Manager

BP Retail UK

Hybrid
8-15 years finance or risk experience
Independent p&l and exposure management
Deal structure validation and pricing analysis
BP Retail UK is seeking a Commodity Risk Manager to oversee trading and supply activities, ensuring the delivery of independent daily exposure and P&L reporting. The ideal candidate will have significant experience in finance and risk management, particularly within commodity trading

Job Summary

  • The role serves as the primary interface for trading benches while managing daily activities to deliver independent exposure and P&L.
  • Candidates must possess an independent understanding of trading strategies to identify, raise, and mitigate financial, operational, and reputational risks.
  • The position offers a hybrid work environment with comprehensive benefits including life insurance, medical care, and development opportunities.

Matching Summary

Match Score: 85

BP Retail UK is seeking a Commodity Risk Manager to oversee trading and supply activities, ensuring the delivery of independent daily exposure and P&L reporting. The ideal candidate will have significant experience in finance and risk management, particularly within commodity trading.

Skills & Requirements

Must-have

  • 8-15 years finance or risk experience
  • Independent P&L and exposure management
  • Deal structure validation and pricing analysis
  • Market data integrity and curve management
  • Team leadership and process standardization

Nice-to-have

  • Programming skills for automation
  • Deep knowledge of energy trading instruments
  • Agile working style under pressure
  • Strong communication with global teams
  • Experience in product control environments

Key Requirements

  • Degree required
  • 8-15 years of relevant experience
  • Leadership experience managing analysts

Work Rights

Not specified

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