Are you a quantitative risk professional who enjoys combining technical expertise with strategic influence?
As our Model Risk Manager, you'll play a pivotal role in shaping how risk is measured, understood, and managed across our Trading and Origination portfolios.
Leading a broad range of quantitative risk initiatives, you’ll be responsible for validating valuation models, developing robust risk methodologies, and providing expert insight that supports informed commercial decision‑making. Working closely with stakeholders across the business, you’ll help ensure our risk framework remains rigorous, innovative, and fit for purpose in a fast‑moving energy market.