As the Product Risk Analyst, you will form part of a dynamic risk team responsible for monitoring trading exposures, analysing risk, and ensuring accurate reporting and insights that support informed business decisions. If you are looking for a role that offers technical exposure, career growth, international engagement, and the opportunity to work alongside high-calibre professionals, then this opportunity is for you. Key Responsibilities Produce and analyse daily risk reports, including profit and loss reporting for trading activities Monitor and identify risk exposures, proactively highlighting key issues and potential surprises Support the enhancement and development of reporting systems, risk processes, and analytical tools Engage with senior stakeholders and trading teams to communicate insights and findings effectively Assist in ensuring accurate valuation and reporting of trading-related exposures Collaborate with international teams and senior management on risk-related matters Job Experience and Skills Required Education: Bachelor’s degree in Finance, Risk Management, Economics, Engineering, Computer Science, or a related quantitative field. Experience: Minimum 2–3 years’ experience within a similar risk, analytical, or trading environment. Exposure to market risk, product risk, commodities, trading, or financial markets will be advantageous. Experience working with large datasets and reporting in a fast-paced environment. Skills Required: Strong Excel skills. Exposure to Python and/or VBA would be highly advantageous. Strong analytical and problem-solving abilities. Excellent verbal and written communication skills. High attention to detail and ability to work under pressure. Strong stakeholder engagement and time management skills. #J-18808-Ljbffr