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Responsibilities:
- Designs and integrates risk control activities in DS Gas Division in line with OMV group strategy;
- Assesses the risk of current business and evaluates the potential new transactions, oversees the overall risk exposure;
- Evaluates and reports the hedge positions;
- Monitors compliance with the limits set for hedging activity according to Annual Hedging Plans;
- Computes Mark to Market of the hedges;
- Monitoring of the any hedge status (eg. stock hedge quantity);
- Monitoring and reporting the compliance with FX hedging strategy prepare detailed analysis of deviations and recommend appropriate measures;
- Monitoring of bank credit limits set for hedging activity according to Annual Hedging Plans;
- Monitors the overdue development, collection cases and takes actions for recovering overdue amounts;
- Prepares and delivers any credit risk data to the management.
Requirements:
- Master Diplom (Economics or any comparable education);
- More than 7 years relevant professional experience:
- Deep understanding of market risk exposure and ways to mitigate it;
- Comprehensive experience in the gas and power industries and market knowledge;
- Ability to work under pressure and dealing with tight deadlines;
- Very good understanding of market best practices;
- Ability to work with commercial organization, very good persuasive skills;
- Knowledge of SAP, very good knowledge of MS Excel;
- Excellent communication skills, collaborates effectively in teams and networks;
- Fluent in English.