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Título:  Market Risk Control Analyst

Fecha:  10-ago-2022

Madrid, España, España

Empresa:  00L6-CEPSA TRADING, S.A.U

What do we expect from you? 


The successful candidate will work within Cepsa Trading reporting to the Trade Finance and BO Manager of the Control Risk unit.


Key responsibilities:


  • Monitor and verify exchange-traded positions and limits, including initial margins optimization
  • Check traders introduce accurately and in a timely manner all trades within the ETRM trading system.
  • Participate in the development and implementation of IT trading systems, seeking process agility and robotization
  • Margin calls management with financial entities
  • Settle transactions at maturity, either with Group or external companies, to obtain their economic result, the associated documentation and the corresponding issuance / conformity of invoices, if applicable.
  • Participation in contract negotiations in the area. ISDAs, Request for Proposals for Tenders, Brokers Master Agreements, Confirmation templates in new markets, CSAs, clearing houses documentation (ICE-NYMEX,EEX) etc
  • Group invoices default tracking, including commercial negotiation
  • Reporting information to other Units (Financial, Management Control, Corporation), detailing the result of each transaction (expired or as an open position)
  • Support for the group's structured financings
  • Assist and answer internal and external auditors in all its requests



What are we looking for?



  • Degree in Economics, Engineering, Law+Economics or similar degree
  • High levels of analytical and information technology skills, strong Excel skills.
  • Fluent in English. Other languages valuable.
  • Preferably 2 years of experience in a similar function in an energy or financial company.



Location: Madrid


Cepsa ensures equal opportunities, identifying and developing the full potential of people based exclusively on their abilities to carry out their duties.



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