Senior Global Trading Product Control Analyst

Exxon Mobil

Buenos Aires

Presencial

ARS 181.560.000 - 287.469.000

Jornada completa

Hace 11 días
Generador de candidaturas

Transforma esta oferta en una entrevista: un currículum y una carta de presentación creados pensando en lo que quiere el empleador.

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Ventajas ofrecidas por este puesto de trabajo

Competitive health coverage
3 weeks vacation
Online training tools
Gym discounts

Descripción de la vacante

ExxonMobil is seeking a Global Trading Market Risk - Product Control Advisor to support GT by ensuring accurate valuation, risk measurement, and exposure monitoring. You will provide independent oversight of P&L, market risk, and portfolio performance for trading transactions, working across GT, Market Risk, and Finance.

You will lead analytics, model validation, and risk reporting, and collaborate with Trading, Finance, and Operations to uphold governance and drive risk-informed decisions.

Formación

  • Bachelor-level or higher in a quantitative or finance-related field with 10+ years of industry experience.
  • Experience in petrochemical trading, risk management, and derivative instruments.
  • Strong leadership, communication skills and global team collaboration.

Responsabilidades

  • Serve as the technical expert for Product Control for Market Risk stakeholders.
  • Monitor hedging, exposures, P&L, and valuation governance across portfolios.
  • Develop analytics, dashboards, and tooling to support risk decision-making.
  • Engage with Finance, Trading, and Market Risk to ensure policy adherence.

Conocimientos

Petrochemical trading
Risk management
Quantitative analysis
Leadership
Cross-functional collaboration
Communication

Educación

Bachelor's degree in Quant Finance, Business Economics, or related field

Herramientas

SAP
Endur
Allegro
Bloomberg
Trading Technologies

Descripción del empleo

ExxonMobil is seeking a Global Trading Market Risk - Product Control Advisor to support GT by ensuring accurate valuation, risk measurement, and exposure monitoring. You will provide independent oversight of P&L, market risk, and portfolio performance for trading transactions, working across GT, Market Risk, and Finance.

You will lead analytics, model validation, and risk reporting, and collaborate with Trading, Finance, and Operations to uphold governance and drive risk-informed decisions.

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