Risk Manager (Financial) – London

  • Europe
  • Job Reference: PR/016944


An international dry bulk operator and logistics company, with a European HQ and operations in Asia and the Middle East, are hiring a Financial Risk Manager for their team in London.

Working closing with the trading team and senior management, you’ll manage the financial risks around the trading of vessels, the potential hedging of vessels, as well as hedging of vessel’s bunkers.

This position will give you the opportunity to go forward in your career, using what you have learnt, to take ownership of a risk management system.

You’ll have experience in Risk Management in a commodity trading company, or dry or wet operator.

While being well versed in financial aspects and capable of devising a risk management system, you’ll be able to understand, and communicate this from a commercial perspective, building good rapport with the internal trading team.

Full-time position based in London.

Existing entitlement to live and work in the U.K is essential.

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