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Senior Product Manager - Procurement & Portfolio Management; m​/f​/d

in 10115, Berlin, Berlin, Deutschland
Unternehmen: 1KOMMA5˚
Vollzeit position
Verfasst am 2026-07-18
Berufliche Spezialisierung:
  • Wirtschaft
    Business Analyst, Risiko-Analyst, Finanzanalyst
Gehalts-/Lohnspanne oder Branchenbenchmark: 90000 - 130000 EUR pro Jahr EUR 90000.00 130000.00 YEAR
Stellenbeschreibung
Stellenbezeichnung: (Senior) Product Manager - Procurement & Portfolio Management (m/f/d)

1

KOMMA5°

At 1

KOMMA5°
, we pursue a clear vision:
Living on wind and sunlight forever for free
. To make this a reality, we are building the energy system of the future with Heartbeat AI. Want to be part of it?

We bring together regional craftsmanship and scalable software:
We don't think of solar, batteries, heat pumps, and e-mobility as isolated components, but control them as an intelligent, integrated overall system in our virtual power plant. Directly connected to the electricity market – in real time, fully automated. This way, energy is used when it is available from renewables and particularly cost-effective. By 2030, our goal is to transition 1.5 million households to renewable energies.

Over 3,000 people are working towards this every day, at more than 80 locations worldwide, from Finland to Australia.

Want to take responsibility and build solutions that truly matter? Apply now and help us shape the energy world of tomorrow.

Learn about our Product & Tech team!

Deine Position

As Product Manager Procurement & Portfolio Management, you take on one of the most strategically defining product roles within our energy retail business: you design how 1

KOMMA5° procures, hedges, and optimizes electricity for an increasingly flexible customer portfolio. You sit at the intersection of energy markets, energy procurement, our flexibility assets, and our customer-facing tariff strategy - and you turn this into a measurable commercial advantage.

  • Own our Procurement Strategy:
    Define how and where 1

    KOMMA5° procures energy for our customer portfolio - across day-ahead, intraday, and forward markets. Develop a clear market split logic, and continuously refine it based on portfolio characteristics, customer mix, and market conditions.
  • Design Portfolio Hedging &

    Risk Management:

    Build hedging and risk management strategies tailored to different customer portfolios (dynamic vs fixed tariffs or flexibility/ancillary services). Define when and how we lock in volumes, what we leave open, and how we balance commercial upside against risk exposure.
  • Shape Our Flexibility Procurement Model:
    Design how we procure and steer our flexibility portfolio. Defining models such as flexibility bands, fixed volumes, strike-price-based offers, and the trade‑offs between them. Develop the commercial logic and the operational requirements for each model.
  • Run Quantitative Portfolio Analysis:
    Independently run analyses on procurement performance, hedging effectiveness, and portfolio economics. Build the analytical foundation that supports strategic decisions, identifies optimization opportunities, and quantifies the impact of changes to our procurement and steering setup.
  • Monitor Performance and Drive Continuous Improvement:
    Define KPIs across procurement cost, hedge effectiveness, portfolio risk, and flexibility margin. Use data to continuously sharpen our market positioning and commercial performance.
Dein Profil

General:

  • 4+ years of experience in (international) energy procurement, portfolio management, or energy trading, ideally in a utility, energy retailer, trading desk, or aggregator environment
  • Strong analytical skills with hands‑on experience running portfolio analyses, hedge calculations, and market scenarios (Python, SQL, or comparable tools are a strong plus)
  • Proven ability to translate market and commercial logic into structured processes and product requirements
  • Entrepreneurial, proactive, and comfortable navigating ambiguity in a fast‑moving market environment
  • Excellent written and spoken English and German

Market & Domain Expertise:

  • Deep understanding of European power markets - day-ahead, intraday, and forward markets - and the mechanisms that drive prices
  • Solid working knowledge of hedging instruments (futures, options, OTC), balancing markets, and BRP settlement
  • Familiarity with flexibility products and procurement models (flexibility bands, fixed volumes, strike-price offers) and their commercial trade‑offs
  • Awareness of regulatory frameworks shaping energy retail (Marktkommunikationsprozesse, balancing regimes, market design developments)
  • Experience working with external procurement partners, ETRM systems, or trading platforms is a strong plus
Benefits
  • You are part of an international, dynamic, and highly motivated team of people who have proven to make things happen
  • With your work, you accelerate the "energy transition" and hence have a direct impact on our climate
  • Work with and learn from other super-smart colleagues
  • You will enjoy direct contact with core decision-makers
  • You will enjoy the best chances of entering full‑time in one of Europe's most thriving scaleups
  • You can work in one of our offices in Hamburg, Berlin or Munich
  • Create a healthy balance alongside your work and enjoy all the benefits of the EGYM Wellpass
  • Benefits and discounts are yours with Futurebens
  • Whether city bike or e‑bike - be flexible with our job bike leasing and do something good for the environment at the same time
#J-18808-Ljbffr
Stellen-Anforderungen
10+ Jahre Berufserfahrung
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