Hybrid Energy Credit Risk Manager

Macquarie Group

Houston (TX)

Hybrid

USD 120,000 - 180,000

Full time

4 days ago
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Benefits offered by this job

Wellbeing leave day
Annual leave
Parental leave
Volunteer leave
Medical & insurance benefits
Hybrid work arrangements

Job summary

Macquarie Group’s HoustonCredit Risk Team oversees risk across hedging, lending and physical energy transactions, partnering with Commodity Markets and Finance desks. You will manage credit risk, perform detailed assessments, and propose internal ratings and credit limits in a dynamic energy portfolio.

This role requires 3-5 years in credit risk, strong financial analysis, and the ability to communicate with risk colleagues and front office.

Qualifications

  • 3-5 years in Credit Risk or related roles.
  • Strong foundation in financial analysis and evaluating financial statements.
  • Judgement to identify key risks in structured transactions.
  • Ability to communicate effectively with risk colleagues and front office.
  • Familiarity with financial and physical commodity products.
  • Experience in energy sector is beneficial though not essential.

Responsibilities

  • Manage credit risk of a diverse portfolio of energy sector counterparties.
  • Conduct in-depth quantitative and qualitative credit assessments.
  • Prepare written analyses and recommendations; set internal ratings and credit limits.
  • Propose credit structures and participate in annual portfolio credit reviews.
  • Collaborate with front office and other stakeholders, providing risk-based recommendations.

Skills

Credit risk analysis
Financial analysis
Risk communication
Structured transactions
Commodity products
Energy sector experience

Job description

Macquarie Group’s HoustonCredit Risk Team oversees risk across hedging, lending and physical energy transactions, partnering with Commodity Markets and Finance desks. You will manage credit risk, perform detailed assessments, and propose internal ratings and credit limits in a dynamic energy portfolio.

This role requires 3-5 years in credit risk, strong financial analysis, and the ability to communicate with risk colleagues and front office.

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