By joining ArrowResources AG, you will become a member of the sector's leading company. You will be encouraged to develop your skills and to grow within teams of highly qualified specialists. We encourage personal development and actively support creative team work, leadership and responsibility.
You will work in the Risk department and will be in charge of various tasks related to Risk and Trading activities:
- Assist in designing the architecture of the Risk technology and the interfaces to other functions;
- Deliver insightful reporting and analytics that improve effective communication to traders and management;
- Interact with traders to understand and monitor their risk and P&L;
- Assist derivatives traders; typically providing guidance hedging schedules, booking complex trades, investigating P&L and risk issues;
- Analyze and generate timely trading & risk reports for physical and derivative;
- Liaise with external providers (brokers, financial institutions, etc.) for daily issues and longer-term projects;
- View stakeholder interaction as an integral part of successful delivery
Nice to have requirements:
- Bachelor or Master degree in Finance (or equivalent)
- 1 year of experience in a similar position (internship incl.)
- Ideally, you have already some experience in commodities and related financial instruments, and be able to demonstrate strong analytical and numerical skills.
- You have a good knowledge and a strong interest for trading activities, derivatives products and Lombard loans
- Excellent analytical skills
- Excellent knowledge of Excel and VBA (Access a plus)
- Good knowledge of Python
- Organized, you know how to work in a fast paced environment and are autonomous
- Excellent English skills (verbal and written)