Lead Wind Power Portfolio Strategist

Ørsted A/S

Gentofte Kommune

On-site

DKK 900,000 - 1,200,000

Full time

5 days ago
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Job summary

Ørsted A/S in Denmark seeks an experienced professional to turn market insights into commercial strategies for its European wind power assets. You will manage market exposures, collaborate with Trading, Origination, Risk Management, Finance, and asset teams to shape portfolio strategies and hedging approaches.

The role requires strong market knowledge, a quantitative mindset, and the ability to translate analysis into actionable recommendations for senior stakeholders.

Qualifications

  • Experience in portfolio management, trading, or related energy-market roles.
  • Strong understanding of European power markets; gas markets preferred.
  • Ability to combine judgement, market insights, and quantitative analysis in Python.
  • Master’s degree in economics, finance, energy, engineering, or equivalent experience.
  • Ability to communicate complex analysis clearly and influence stakeholders.
  • Collaborative mindset to navigate complexity and deliver as a team.

Responsibilities

  • Drive active portfolio management and assess complex exposures.
  • Develop structural market views and translate into portfolio strategies.
  • Shape dynamic hedging strategies using standard market products and structured transactions.
  • Identify opportunities to diversify risk and maximise value.
  • Structure and value transactions and perform risk assessments using quantitative models, including Python.
  • Communicate recommendations clearly and influence senior stakeholders.

Skills

Portfolio management
Market insights
Python
Quantitative analysis
Stakeholder communication
Team collaboration

Education

Master’s degree in economics/finance/energy

Tools

Python

Job description

Ørsted A/S in Denmark seeks an experienced professional to turn market insights into commercial strategies for its European wind power assets. You will manage market exposures, collaborate with Trading, Origination, Risk Management, Finance, and asset teams to shape portfolio strategies and hedging approaches.

The role requires strong market knowledge, a quantitative mindset, and the ability to translate analysis into actionable recommendations for senior stakeholders.

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