Workload: 100%
As our Financial Risk Manager, you contribute with your expertise and commitment to give us oversight of the financial risks across the whole Axpo Group. Do you want to challenge the status quo and bring in your ideas? Then this role is the perfect fit for you!
What you will do
- You aggregate financial risk metrics from all business areas within the Axpo Group to provide an integrated overview of financial risks to the senior management
- You refine and challenge existing financial risk models along with relevant teams
- You support the management in the financial risk assessment of new and ongoing business
- You will provide a senior management report (ideally in Power BI)
- You focus on supporting FX and FI monitoring initiatives
What you bring & who you are
- You successfully completed a technical or economics degree
- You bring a good understanding of the commodity markets
- You are experienced in FX and FI markets and hedge & trading environment
- You distinguish yourself through your numerical mindset, and you are experienced in working with Power BI
- You are able to multitask in a fast-paced working environment
- You are fluent in English, German is a plus
About the team
The Financial Risk & Modelling team consists of 3 employees and wants to grow further. Moreover, our team thinks and works in an interdisciplinary way and is closely networked nationally and internationally. We offer you a dynamic, international, and team-oriented environment in which you can actively contribute your strengths and thus contribute to Axpo’s success.
Axpo Group
Carlos Moreno Paniagua