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Posted 05 August, 2026

Senior Market Risk Analyst - Commodities

Eleven
London, ENG, GB Full Time

Job Description

COMMODITY MARKET RISK ANALYST

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Exciting opportunity to join a leading Global Commodity Trading company . The role will be based in their London office . A dynamic company who offer rapid learning opportunities with potential for movement across teams and international roles.

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Main responsibilities:

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• Preparing and reviewing daily P&L and risk reports, monitoring limits, and proactively resolving any issues in coordination with the relevant teams

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. • Support front office in obtaining approval for new and non-standard products.

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• Assisting in identifying significant risks within the business and ensuring they are transparent to senior management.

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• Provide information and commentary for the bi-weekly Risk Committee meetings.

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• Review and approve any relevant changes to the main ETRM system (Endur).

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• Guarantee compliance for trading procedures with relevant controls and support when necessary internal and external audit requests.

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• Participate in the enhancement of reporting and the development of reporting systems.

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Skills and experience required:

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• University degree in a numerate discipline (e.g. economics, mathematics, pure science, finance, engineering or similar).

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• Relevant experience in a market risk role within commodity trading companies or banks.

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• Strong Knowledge of risk metrics such as VaR, stress-testing, scenario analysis.

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• Good knowledge of derivatives and options.

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• Strong knowledge of MS Office suite including Excel and VBA. SQL and Python would be a strong advantage.

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• Knowledge of the Endur ETRM system would be an advantage.

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• Analytical mindset and strong numerical skills.

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• Strong organization skills with good attention to detail and the ability to work to tight deadlines. • Strong communication skills, able to communicate concisely with senior management in the market risk function and with all stakeholders.

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• Fluent level of English.