Senior Market Risk Analyst — Modeling & Insights

Cheniere Energy, Inc.

Houston (TX)

On-site

USD 120,000 - 180,000

Full time

14 days+
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Job summary

Cheniere Energy, Inc. in Houston, TX seeks a Senior/Lead Analyst, Market Risk to advance the Risk Department's capabilities and deliver current risk management requirements, including daily risk reporting for policy and limit compliance.

You will provide risk analysis for proposed transactions and support the Houston office alongside market and credit risk colleagues. The role emphasizes quantitative modeling, complex risk assessment, and collaboration with Front Office, with potential risk

Qualifications

  • Bachelor's Degree required, preferably in Finance, Accounting, Business or related field; Master's degree preferred.
  • ERP or FRM certification a plus.

Responsibilities

  • Develop risk capabilities and deliver daily risk reporting to ensure compliance with risk policies and limits.
  • Provide risk analysis for proposed transactions and ad-hoc risk assessments.
  • Support risk functions in the Houston office and collaborate with market and credit risk teams.
  • Liaise with Front Office on risk related to portfolio and transactions.
  • Engage in risk modelling, analysis, and development for market, credit, and operational risk; provide backup as needed.
  • Flexible duties may change with business demands and may include work in other risk areas.

Skills

Quantitative modeling
Financial modeling
Market risk analysis
MS Office
Analytical skills
Communication skills
Multi-tasking

Education

Bachelor's degree in Finance/Accounting/Business
Master's degree preferred
ERP or FRM certification a plus

Tools

OpenLink Endur
SQL
Zema

Job description

Cheniere Energy, Inc. in Houston, TX seeks a Senior/Lead Analyst, Market Risk to advance the Risk Department's capabilities and deliver current risk management requirements, including daily risk reporting for policy and limit compliance.

You will provide risk analysis for proposed transactions and support the Houston office alongside market and credit risk colleagues. The role emphasizes quantitative modeling, complex risk assessment, and collaboration with Front Office, with potential risk

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