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Gunvor · Vor Ort · Geneva

Job Title:

Risk Officer - Base Metals

Contract Type:

Time Type:

Job Description:

The Risk Officer, Base Metals is a member of the Risk team, reporting to the EMEA Risk Team Lead. He/She is responsible for leading research and analysis, delivering reports, and high-quality digital tools to improve decision making and risk management of base metals desk.


Main Responsibilities

  • Daily reporting of P&L, exposures, VaR and explanation thereof.
  • Manage daily checks on, trade capture, trade integrity and completeness between desks and trading system.
  • Monitor forward curves and volatilities for accuracy and consistency.
  • Provide analytical support to the traders on base metals.
  • Check and assist in capturing and evaluating the risk of complex products.
  • Apply risk-reserving methodology to trading P&L.
  • Responsible for monthly translation into accounting of trading results.
  • Month end and year end reconciliations with finance and external auditors as required.
  • Improve existing and develop new daily procedures for management reporting, trade completeness, market data and other such processes as required. 
  • Liaise closely with IT, Operations, Credit Risk, Finance, and Front Office.
  • Prepare various reports and analysis for publishing internally and to the Management Board as the case may be.

 

Base metals MO should have below additional specific knowledge:


For physical:

  • London Metals Exchange (LME) pricing mechanics: LME 3M, LME Cash, LME 3rd Wed (monthly settlement) and daily rings (for diff metals), and potentially corresponding knowledge of exchange CME and SHFE.
  • MtM valuations according to time spreads and arbitrages locked (i.e. LME vs SHFE)
  • MtM valuations of various grades of diff metals, quantify and sense check the discounts or premiums.
  • Cost accruals reconciliation according to the delivery locations, spreads locked and freight market.
  • Term contracts and allocation with spot deals
  • Exchange delivery and warrant trading.
  • Solid understanding of the “repos” physical deals (“repurchase deals”) i.e in substance a loan using base metals as collateral or genuine buy/sell trades. 

For paper:

  • Familiar with various granularity and expiry of the liquid paper contracts (LME 3M, Cash, daily and monthly; SHFE monthly; CME monthly)
  • FX hedging if material quantity done on SHFE
  • Sense check liquidity risk of long dated contracts (i.e. 1 year forward contract)

Profile

  • University degree, preferably in Computing, Mathematics, Engineering, Economics or Finance.
  • Mastery of analytics tools and technologies.
  • Minimum 3 years in a similar role in the commodity trading business, preferably within a major trading house, an oil major, an investment bank or a hedge fund.
  • Very good knowledge of Excel and VBA.
  • Good knowledge of Access and SQL Server
  • Fluent in English, both written and spoken, French is a plus.
  • Curious and Proactive
  • Eager to learn and ability to work with limited supervision.·       Rigorous and meticulous
  • Strong communication skills
  • Highly numerate
  • Strong team spirit.

If you think the open position you see is right for you, we encourage you to apply!


Our people make all the difference in our success.

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Über Gunvor

At Gunvor, we are always looking for talented and motivated new people who will contribute to the success and growth of our company. Every day, with their know-how, expertise and passion, our people make the difference and enable us to achieve our vision. Our global business offers a wide variety of opportunities and career paths. If you are unable to find any suitable vacancies, we recommend that you set up alerts to be notified when a position matching your criteria becomes available.

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