Náplň práce
Embark on a pivotal role where you will actively contribute to the development and execution of trading strategies, focusing on a diverse portfolio encompassing energy assets and bilateral contracts. Collaborate with the team to enhance analytical processes, optimize portfolio risk-taking, and identify lucrative opportunities based on micro and macro fundamentals. Engage in key decisions related to portfolio construction and risk-taking, utilizing insights to support idea generation and commodity analysis. Challenge conventional views and diligently monitor market volatility.
Požadavky
Possess a Bachelor’s degree or equivalent experience, ideally in statistics, mathematics, computer science, finance, or economics.
Showcase a robust understanding of financial modeling, particularly utilizing Python and/or VBA, Matlab.
Bring along prior experience in commodities to contribute to the team.
Exhibit excellent analytical and quantitative skills, demonstrating meticulous attention to detail.
Demonstrate strong written and verbal communication skills.
Flourish in a fast-paced team environment, adept at managing multiple tasks with efficiency.
Prior experience with AI would be considered a valuable advantage.
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