Global Portfolio Position Monitoring
ContourGlobal
Madrid, Spain
Responsibilities:
- Monitor and report on the global energy portfolio position, including hedging and exposure metrics;
- Conduct sensitivity analysis and scenario modeling to assess the impact of market changes, regulatory developments, and operational risks on the company's asset portfolio;
- Collaborate on hedging strategies and financial trading activities, focusing on optimizing risk-reward outcomes;
- Develop and maintain tools for portfolio monitoring, including dashboards and automated reporting systems;
- Conduct month-end reporting and budget preparation, providing insights for strategic decision-making;
- Oversee data architecture management to support effective portfolio monitoring and reporting;
- Work closely with the Risk Control team to ensure data consistency and process optimization;
- Develop dashboards and visualizations for internal stakeholders, using business intelligence tools;
- Prepare high-quality PowerPoint presentations and visualizations for internal and external stakeholders;
- Collaborate with finance teams for margin breakdown, budget comparisons, and reporting improvements;
- Contribute to contract management, including metering, settlement, reconciliations, and accruals.
Requirements:
- Advanced degree in Quantitative Finance, Data Science, or a related field;
- 5–8 years of experience in portfolio monitoring, energy trading, or risk analysis;
- Proficiency in data analysis tools such as SQL, Python, and Power BI;
- Expertise in financial modeling and understanding of energy trading and risk metrics;
- Strong leadership skills with the ability to drive cross-functional collaboration;
- Excellent problem-solving and analytical abilities with attention to detail;
- Familiarity with global energy markets, derivatives, and hedging mechanisms.
Don't forget to mention EuroClimateJobs when applying.