Job Opportunity
Commodities Risk Manager
London, UK
Hedge Fund is seeking a Commodities Risk Manager. Focus on European power and gas markets, covering both physical and financial exposures across forwards, options, and structured products. Bachelor’s or Master’s degree in a quantitative or finance-related field (e.g. Engineering, Economics, Mathematics, Finance). 3-5 years of experience in market or risk management within energy, commodities, or related markets, preferably with exposure to EU power and gas.
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