Global Risk Manager (6683)

Anew Climate, LLC

Houston, Northern (TX, KY)

Hybrid

USD 180,000 - 270,000

Full time

14 days+
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Benefits offered by this job

Competitive compensation
Global mobility opportunities
Climate impact mission

Job summary

Anew Climate, LLC seeks a Global Risk Manager to lead enterprise and market risk across US, Canada, Europe and Asia. You will design risk policies, monitor exposures in real time, and ensure trading activities stay within approved tolerances.

This high-visibility role sits at the crossroads of trading, analytics and compliance, reports to the CFO, and partners with finance, legal and operations to strengthen end-to-end risk controls.

Qualifications

  • 7+ years in risk management, preferably in commodities or energy trading.
  • Experience with environmental commodities (carbon credits, LCFS, EU ETS).
  • Experience with global trading desks or multi-jurisdiction risk frameworks.
  • Proficiency with risk modeling tools and data analytics platforms.
  • Ability to communicate complex risk concepts to diverse audiences.
  • Demonstrated ability to influence senior stakeholders and drive change.
  • Bachelor’s degree required; advanced degree or certifications preferred.

Responsibilities

  • Own the global risk management framework across all offices and lines.
  • Monitor market and credit risk across carbon, renewables, power, and related markets.
  • Develop, implement and maintain risk policies and controls per jurisdiction.
  • Lead bi-weekly Risk Committee meetings with executive leadership.
  • Oversee risk analytics, dashboards, VaR models, stress tests and reports.
  • Collaborate with commercial teams to assess risk of structured transactions.
  • Track regulatory changes across US, Canada, EU, and other regions.
  • Support audits and strengthen end-to-end risk controls across the firm.
  • Partner with Finance, Legal, Operations and Technology for governance.

Skills

Risk management
Environmental commodities
Communication
Stakeholder influence
Quantitative methods

Education

Bachelor’s degree
FRM
CFA
ERP

Tools

Risk modeling tools
Data analytics platforms

Job description

Global Risk Manager (6683)# Global Risk Manager (6683)Houston, TX 77027## OverviewLevelManagementEducation Level4 Year Degree## Description**Job Description: Global Risk Manager**The Global Risk Manager will lead the firm’s enterprise and market risk framework across all regions—US, Canada, Europe and Asia. This role sits at the intersection of trading, analytics, compliance, and executive leadership. The manager will design and enforce risk policies, monitor exposures in real time, and ensure the firm’s global trading activities operate within approved risk tolerances.This is a high-visibility role with direct influence on strategic decision-making and will report directly to the Chief Financial Officer of Anew.---**Key Responsibilities**· Enterprise Risk Leadership — Own the global risk management framework, ensuring consistency across all offices and business lines.· Market & Credit Risk Oversight — Monitor exposures across carbon, renewable fuels, power, and related environmental markets; assess counterparty creditworthiness; recommend limits and mitigations.· Policy & Governance — Develop, implement, and maintain risk policies, procedures, and controls aligned with regulatory requirements in each jurisdiction.· Lead Risk Committee — Lead and participate in bi-weekly Risk Committee meetings of executive team.· Risk Analytics & Reporting — Lead the creation of dashboards, stress tests, VaR models, scenario analyses, and daily risk reporting for senior leadership.· Commercial Partnership — Work closely with commercial team to understand strategies, evaluate new products, and assess risk implications of structured transactions.· Regulatory Awareness — Track evolving rules across the US, Canada, EU, Singapore, Spain and other regions; ensure compliance with carbon market, low carbon fuels and energy trading regulations.· Audit & Assurance — Support internal and external audits; ensure documentation and processes meet global standards.· Cross-Functional Collaboration — Partner with Finance, Legal, Operations, and Technology to strengthen end-to-end risk controls.---**Qualifications**· 7+ years of experience in risk management, preferably within commodities, energy trading, carbon markets, or financial services.· Understanding of environmental commodities (e.g., carbon credits, RECs, LCFS, EU ETS, voluntary markets).· Experience working with global trading desks or multi-jurisdictional risk frameworks.· Proficiency with risk modeling tools, data analytics platforms, and quantitative methods.· Ability to communicate complex risk concepts clearly to both technical and non-technical audiences.· Demonstrated ability to influence senior stakeholders and drive organizational change.· Bachelor’s degree required; advanced degree or relevant certifications (FRM, CFA, ERP) preferred.---**What We Offer**· Competitive compensation with performance-based incentives· Global mobility opportunities across our offices· A mission-driven culture focused on climate impact and market innovation· The chance to build and shape a world-class risk function in a rapidly expanding sector· Collaborative, entrepreneurial environment with significant autonomy
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