Overview In this role, you will manage a sizeable US natural gas-focused commodity portfolio, seeking value through physical and financial trading. You will work with a cross-functional team to identify market opportunities, execute hedging strategies, and manage risk in dynamic markets. You'll contribute to research outputs and senior management decisions, while ensuring regulatory and governance compliance. This opportunity lets you shape trading strategies at a global energy and commodities leader with a strong sustainability mission.
Compensation / Benefits- Equitable and market-competitive base pay and bonus
- Retirement program with financial planning resources
- Employee stock purchase programs
- Wellbeing and health programs
- Paid time off and parental leave
- Employee discounts and training opportunities
Responsibilities- Develop and execute trading and hedging strategies in gas-related markets
- Generate consistent trading profit within approved risk parameters
- Execute transactions using futures, swaps, options, and other derivatives
- Identify arbitrage opportunities and market dislocations across regions and structures
- Build and maintain relationships with market participants
- Support research on market views, pricing forecasts, and trading recommendations
- Ensure compliance with regulatory, risk, and governance requirements
Key requirements- Bachelor degree (preferably in Finance, Economics, Engineering, Mathematics)
- Minimum 7 years of relevant experience
- Willingness to travel as required
- Ability to work in the U.S. without visa sponsorship
- Cross-functional collaboration
- Analytical thinking
- Proactive problem-solving
- Trading in Natural Gas, NGLs, Crude Oil or related markets
- Experience with commodity derivatives (futures, swaps, options)
- Quantitative modelling and predictive analytics