You will join a team of experienced and dedicated market risk analysts with diverse backgrounds and nationalities, all with expert knowledge of the energy sector and risk management. The way we work is characterised by working closely together across the entire Risk Management unit, meaning direct access to colleagues with both quantitative modelling skills and colleagues with a dedicated focus on credit risk. So, as our new colleague, you will get the chance to take on complex issues with colleagues who are all passionate about their field of expertise.
Starting out, you will get a thorough introduction to the team, your tasks, your primary stakeholders and our risk management framework at Danske Commodities. Your first tasks will be to get familiar with our gas portfolio and the responsibilities within that particular business area. Shortly after your introduction period, and when you have aquired the necessary knowledge, you will be the designated market risk analyst for our gas portfolio. In this position, you will play a significant role in developing our business partnering setup through various analyses – always ensuring that we offer best-in-class risk management.
As our new colleague, we imagine that you have experience from the energy industry, working with either trading or risk management. You are naturally motivated by having great responsibility and you thrive in an environtment with a wide variety of stakeholders. You have an innate focus on details, you strive for highest possible quality and you are not afraid to challenge your colleagues on their views.