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This job expired on 21/09/2026. It no longer accepts applications.
Derivative & Market Risk Analyst
TotalEnergies · Genève
Job description
About the role
We are seeking a Derivative & Market Risk Analyst to join the Market Risk Control team within TotalEnergies Trading & Shipping (TOTSA) in Geneva. The role sits at the interface between the Front Office, Finance and senior management, providing daily oversight of derivatives trading activities and market risk.
Key responsibilities
- Monitor daily exposure and market risk of trading portfolios, analysing OTC and exchange‑traded transactions processed the previous day.
- Perform VAR and stress‑test analyses, assess profit‑center sensitivities and ensure compliance with delegated trading limits.
- Calculate, validate and publish daily results, including unit performance, MTM valuations and consistency checks against external price sources.
- Support derivatives traders with ad‑hoc queries, data extraction and one‑off studies.
- Maintain accurate documentation of risk indicators and provide regular reports to management.
Required profile
- Strong understanding of derivatives trading and market risk concepts.
- Experience in a middle‑office or risk‑control environment within a commodity trading or financial services firm.
- Analytical mindset with the ability to work under tight deadlines in a fast‑moving environment.
- Excellent communication skills to interact with front‑office traders, finance teams and senior management.
Required skills
- VAR and stress‑testing methodology.
- MTM valuation principles.
- Familiarity with OTC and exchange‑traded derivative products.
What we offer
- Opportunity to work in a leading global energy trader with a strong focus on market risk management.
- Dynamic, multicultural team located in Geneva.
- Professional development in a fast‑evolving commodities market.
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TotalEnergies
Genève
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