Middle Office Analyst - Gas/LNG
Job in
Houston, Harris County, Texas, 77002, USA
Listed on 2026-06-02
Listing for:
Richard, Wayne and Roberts
Full Time
position Listed on 2026-06-02
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Financial Analyst, Financial Consultant, Banking Analyst
Job Description & How to Apply Below
Risk Control Analyst - Global Energy Markets
Step into a fast-paced, high-impact trading environment where your analysis directly influences strategic decisions across global energy markets. This role is part of a world-class Global Risk Control team that spans Houston, London, and Singapore, working with a diverse portfolio that includes natural gas, LNG, NGL, power, emissions, and dry bulk. You'll collaborate with traders, operations, finance, and compliance teams to help steer a company renowned for its innovation, energy market leadership, and commitment to cutting-edge trading solutions.
Why This Role Is Exciting
- Join a globally recognized energy trading organization driving innovation in natural gas and LNG markets.
- Work in a collaborative, high-performing environment where your insights shape trading strategies and risk management decisions.
- Be part of a team trusted by senior management to provide critical risk analysis across multiple asset classes worldwide.
- Engage with advanced market analytics, modeling, and reporting, using state-of-the-art tools in energy trading.
- Contribute to process improvements and system enhancements that directly impact global trading operations.
- Analyze, model, and report market risk for global trading activities, including physical and financial trades, storage, transport, and foreign exchange deals.
- Monitor trading positions, daily P&L, mark-to-market valuations, and exposure across energy commodities.
- Develop and maintain risk reporting and analytics to communicate insights to traders and management.
- Ensure the accuracy and integrity of trading data, including deal validation, pricing, and system reconciliations.
- Collaborate closely with Front Office, Operations, Back Office, Finance, and Compliance to maintain strong controls and regulatory compliance.
- Support enhancements to risk models, testing new calculations, and refining assumptions to strengthen risk measurement.
- Communicate effectively with traders to quantify and explain portfolio risks and support senior management reporting.
- Degree in finance, economics, mathematics, business, or another quantitative discipline.
- Strong grasp of risk management principles and valuation models, preferably in commodity markets.
- High numeracy, analytical skills, and attention to detail under tight deadlines.
- Ability to thrive in a dynamic, fast-paced global environment with flexible working hours.
- Excellent interpersonal skills for cross-functional collaboration across global teams.
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