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Market Risk Analyst

Job in City of Westminster, Central London, Greater London, England, UK
Listing for: Peninsula Group
Full Time position
Listed on 2026-05-11
Job specializations:
  • Finance & Banking
    Financial Analyst, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 60000 - 80000 GBP Yearly GBP 60000.00 80000.00 YEAR
Job Description & How to Apply Below
Location: City of Westminster

Market Risk Analyst

Department: Risk

Employment Type: Full Time

Location: London

Reporting To: Dobir Hussain

Description

This role focuses on the preparation and production of daily P&L reporting of the group’s hedging activity to enable the business to understand and manage commercial performance. This includes daily volume exposure reporting, P&L reporting, analysis, limit monitoring, and monthly Management Information to Management Accounts reconciliations.

MAIN RESPONSIBILITIES
  • Preparation and production of daily P&L reporting for all hedging activities, including daily volumetric exposure, P&L analysis, limit monitoring, and MI to MA reconciliations.
  • Daily broker reconciliation and validation of trading system data accuracy.
  • Close liaison with hedging desk traders and physical controllers to ensure timely and accurate data flow.
  • Support and implementation of process and system improvements to streamline reporting activities.
  • Proactive provision of commercial analysis, including pricing, basis risk, and P&L attribution.
  • Price curve production for P&L and mark-to-market valuations.
  • Management of OTC client derivative trades, including credit reporting, margining, confirmations, settlements, and invoicing.
  • Ensuring integrity of data through strong controls and maintenance of robust audit trails.
  • Support month-end close activities and infrastructure required for business growth.
  • Ad hoc financial analysis and reporting as required.
KNOWLEDGE, SKILLS AND EXPERIENCE
  • Relevant experience within oil or energy trading environments.
  • Strong understanding of derivatives, associated risks, and P&L attribution.
  • Working knowledge of market risk concepts, controls, and reporting across derivative portfolios.
  • Carbon market expertise, including knowledge of carbon trading businesses and an understanding of the end-to-end physical delivery process for carbon credits and environmental certificates.
  • Knowledge of freight derivatives trading processes, including awareness of associated market risk dynamics and valuation considerations.
  • Business-level English.
  • Excellent communication and stakeholder management skills across Front Office, Risk, and Finance.
  • Demonstrated ability to improve existing processes and control frameworks.
  • Ability to work under pressure and meet tight deadlines.
  • Strong analytical mindset with attention to detail and an ability to identify anomalies.
  • High level of computer literacy, particularly in Excel (VBA desirable).
  • Knowledge of additional languages is desirable.
  • Accounting qualification (ACA, CIMA) preferred.
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