採用企業
株式会社JERAグローバルマーケッツ
勤務地
東京都 23区, 中央区
雇用形態
正社員
給与
800万円 ~ 経験考慮の上、応相談
リモートワーク・在宅勤務フレックスタイム制
Senior Market Risk Analyst (Japanese Power)
The JERA Global Markets Group is a leading utility-backed energy trader. It operates one of the most exciting portfolios in the world and has a global talent pool of about 400 people across offices located in five strategic locations: Singapore, the UK (London), Japan (Tokyo), the US (Houston) and Australia (Brisbane).
Job Description
Position Description
We are looking for a data-driven and technically skilled Senior Market Risk Analyst to join our Risk Management team, which plays a critical role in supporting market risk management across the Japanese Power and Energy markets. This position focuses on building and maintaining analytical tools and data infrastructure that enable efficient and high-quality market risk assessments. Also, this position plays an important role in ensuring robust market risk measurement, monitoring, and reporting across our trading activities.
Additionally, beyond performing market risk measurement, this role acts as a senior contributor and leader within the Market Risk function, responsible for:
- Leading analytical tasks, risk processes, and enhancement initiatives
- Acting as a key advisor to Front Office, Operations, and senior stakeholders
- Supporting and, when required, deputizing for the Market Risk Manager in both day-to-day operations and governance forums
The role requires strong judgment, the ability to operate independently, and the capability to translate complex market risks into actionable insights for decision-makers.
You will work closely with the Market Risk Manager, Risk Head, and cross-functional teams including Front Office and Operation team, contributing to the development of scalable solutions for market risk limit setting, exposure monitoring, and committee reporting. The role offers a unique opportunity to combine financial insight with technical innovation in a fast-paced, market-facing environment.
Key Responsibilities
- Daily market risk calculations and ad-hoc market risk assessments (VaR, sensitivities, stress tests)
- Monitoring trading positions, exposures, and market-driven risk factors
- Maintaining and enhancing risk analytics tools and reporting frameworks
- Ensuring accuracy and integrity of market data used in risk models
- Supporting senior management and trading desks with clear and timely risk insights
- Contributing to the improvement of risk methodologies, processes, and the database
- Participating in the review of new products and limit structures
- Act as deputy to the Market Risk Manager when required, including coverage of decision-making, reporting, and stakeholder communication
- Mentor and guide risk analysts, providing technical review, prioritization, and quality assurance.
- Contribute to the development of team standards, documentation, and best practices
- Lead or co-lead market risk-related projects, including Risk model enhancements, Reporting automation and data infrastructure improvements, Process efficiency and control strengthening
- Drive continuous improvement of methodologies, controls, and data quality
- Work closely with IT, Operations, and Front Office on scalable risk solutions
職務経験
3年以上
キャリアレベル
中途経験者レベル
英語レベル
ビジネス会話レベル
日本語レベル
ネイティブ
最終学歴
大学卒: 学士号
現在のビザ
日本での就労許可が必要です
Qualifications
Key Qualifications and Experience
Native-level in Japanese (spoken and written) is Mandatory required.
Education & Experience:
- Bachelor's or Master's degree in Finance, Economics, Mathematics, Statistics, Engineering, or related quantitative field.
- More than 5+ years of experience in credit risk, market risk, or quantitative analysis in a trading, banking, or energy company environment.
- Experience in commodity and/or power markets strongly preferred
- Relevant certifications such as CFA, FRM, or bookkeeping qualifications preferred.
- Experience of ETRM system preferred
Skills & Competencies:
- Strong analytical and quantitative skills
- Proficiency with Python and SQL for data manipulation, analysis, and tool development
- Understanding of market risk concepts (VaR, Greeks, stress scenarios, distributions, correlations)
- Familiarity with PnL Attribution/PnL Explain frameworks
- Experience with risk systems, market data management, or BI tools (Power BI, Tableau)
- Strong communication skills and ability to work with risk team, traders and cross-functional teams
- High level of accuracy, attention to detail, and responsibility
- Proactive mindset with a strong focus on process improvement and automation
Other Information
Person Specification
- Detail-oriented, proactive, and capable of working independently.
- Comfortable working in a fast-paced trading environment.
- Motivated to innovate in risk analytics and process improvement.
- Motivated to assimilate complex methodologies and products mathematically.
- Senior-level mindset with a strong sense of responsibility and integrity
- Comfortable operating under ambiguity and handling priority conflicts
- Capable of balancing hands-on analysis with leadership and stakeholder management
- Motivated to grow into broader risk management and leadership responsibilities
Role Opportunity
This role offers an excellent opportunity to further develop skills and responsibility within a growing and successful commodity trading business.
雇用形態正社員給与800万円 ~ 経験考慮の上、応相談
募集について
本求人は転職サイトCareerCross(キャリアクロス)がIndeedへの掲載を行っております。
【求職者の方のお問い合わせについて】
■ 求人内容に関するお問い合わせ
CareerCrossは求人掲載サービスのため、各求人の詳細な職務内容や選考内容につきましては、掲載企業様より直接ご案内いただいております。
ご応募後、企業様から返信があった場合は、CareerCrossサイト内で企業の担当者様と直接やり取りが可能となります。求人内容や選考に関するご質問につきましては、企業様へ直接ご確認ください。
■ CareerCrossのサービスに関するお問い合わせ
CareerCrossのサービス利用方法等に関するお問い合わせにつきましては、以下までご連絡ください。
電話:03-5217-3900
問い合わせフォーム:https://www.careercross.com/suggestion
【CareerCross求人掲載企業様のお問い合わせについて】
Indeedでは求人の掲載停止や内容変更の手続きができません。
大変お手数ですが、該当のご依頼につきましてはCareerCross(当社)までご連絡いただけますと幸いです。
電話番号:03-5217-3900
メール:[email protected]