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Market Risk/Pricing Analyst - Energy

JR United Kingdom

Slough

Hybrid

GBP 52,000 - 62,000

Full time

5 days ago
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Job summary

A leading company in the energy sector is seeking a Market Risk/Pricing Analyst based in Slough. The successful candidate will develop models, conduct risk analyses, and provide recommendations. This role requires strong Excel skills and programming knowledge, as well as significant experience in risk and pricing in the energy sector. The compensation is competitive with a hybrid working model offered.

Qualifications

  • Significant experience in the energy sector in a risk, pricing, or analytics role.
  • Experience performing risk analysis using Excel and similar applications.
  • Strong Excel skills and programming ability in at least one language.

Responsibilities

  • Develop innovative models and tools for risk analysis.
  • Keep risk policies current and support new business activities.
  • Provide expert recommendations.

Skills

Risk Management
Analysis
Excel
Python
SQL

Job description

Market Risk/Pricing Analyst - Energy, Slough

Location: Slough, United Kingdom

Job Category: Other

EU work permit required: Yes

Job Views: 2

Posted: 31.05.2025

Expiry Date: 15.07.2025

Job Description:

We are seeking a Market Risk/Pricing Analyst to join our team. The role offers a salary of up to £62K and is based in our London office with a hybrid working model.

As a Market Risk Analyst, you will develop innovative models and tools, perform in-depth analyses, and present compelling risk proposals. Your responsibilities will include keeping our risk policies current, supporting new business activities, and providing expert recommendations. A strong knowledge of the GB electricity markets, risk management, proficiency in Excel, and basic programming skills are essential.

Key skills and experience required:

  1. Significant experience in the energy sector in a risk, pricing, or analytics role.
  2. Experience performing risk analysis using Excel or similar applications, including calculating volatilities, correlations, P&L distributions, value-at-risk, and risk premia.
  3. Exposure to ETRM systems and trading databases.
  4. Experience reviewing and updating controls and limits on positions and P&L monitoring.
  5. Strong Excel skills and programming ability in at least one language such as Python, SQL, R, or VBA.
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