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This position is responsible for delivering accurate daily P&L, exposure reporting, valuation integrity, and risk analysis across a diverse set of commodity products. This role partners closely with trading, operations, accounting, and risk management teams to ensure timely reporting, strong control governance, and high‑quality analytics supporting commercial decision‑making.
Job Responsibility:
Generate, validate, and publish daily P&L and exposure reports across crude oil, gasoline, distillates, fuel oil, renewables, and NGLs
Ensure accuracy of positions, mark‑to‑market valuations, realized/unrealized P&L, and exposure metrics
Analyze and explain daily P&L movements, including key drivers such as price changes, position shifts, basis changes, and market events
Provide clear, concise commentary to trading, risk, and senior leadership
Validate accurate trade capture between front‑office trade tickets and middle/back-office systems
Work with traders, scheduling, and operations teams to resolve discrepancies or breaks
Validate market data inputs, forward curves, and price assessments to ensure consistency and accuracy across valuation models
Monitor illiquid market inputs and escalate abnormalities as needed
Partner with trading, scheduling/logistics, accounting, and risk management to support timely reporting and operational alignment
Ensure risk numbers align with financial reporting requirements
Lead or support standardization and automation of reporting processes
Contribute to enhancements in risk systems, dashboards, and analytical tools
Maintain documentation and controls to ensure compliance with internal policies, audit requirements, and regulatory standards
Support control testing, process documentation, and data governance activities