My client, a leading Energy firm is looking for a Risk manager to join their Risk Structuring team in Germany.
In this role, you will:
- Safeguard the strategic growth, particularly within their expanding renewables business and flexibility products.
- Lead the management and pricing of flexibility options, ensuring informed decision-making for long-term Investments.
- Proactively manage the growing complexities associated with renewables and flexibility products, including restructuring considerations for optimal risk mitigation.
- Communicate risk assessments effectively, influencing capital allocation and budgeting decisions for optimal risk-reward outcomes.
To be successful, you will possess:
- A minimum of 5 years' experience in risk/asset management or trading, ideally within the energy sector, with a focus on renewables and flexibility products.
- A deep understanding of risk management principles, including quantitative methodologies like stress testing and risk framework development, applied to long-term Investments.
If you meet the above set criteria, please apply or send your CV to
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