Market Risk Analyst
$125.1k - $152.9kPhillips 66
Phillips 66 & YOU - Together we can fuel the future As a Product Control Advisor III , you will provide specialist market risk analysis to help Phillips 66 manage its commodity exposures and trading activities. You'll join a collaborative team that monitors positions, enforces risk limits, and supports data-driven decisions in a dynamic trading environment. This is a great opportunity to deepen your understanding of energy markets, work with trading and finance partners, and grow your career in risk management. What You'll Do
- Produce timely, accurate daily risk exposure reports for trading portfolios, including market positions, volumetric exposures, and key drivers of change, ensuring positions and valuations are complete and reliable.
- Calculate and interpret market risk metrics such as value at risk (VaR), back-tests, and stress and scenario analyses to assess portfolio performance against risk appetite and highlight emerging risks to senior colleagues.
- Monitor risk parameters and trading limits within established frameworks; identify, investigate, and escalate deviations or policy breaches, supporting strong risk governance and control.
- Develop, test, and maintain market risk procedures, methodologies, and documentation to support compliance with internal policies, trading controls, and relevant regulations.
- Collect, cleanse, and analyze data from multiple systems to validate prices and forward curves, reconcile exposures, and provide clear explanations for P&L and risk results to trading, product control, and finance partners.
- Prepare clear, well-structured reports and presentations that summarize risk exposures, P&L drivers, and key insights for a range of stakeholders.
- Support and maintain a robust internal control and operational compliance environment by following established controls, identifying potential issues, and escalating instances of non-compliance as needed.
- Build your own market risk capabilities through ongoing learning, leveraging new tools, analytics, and industry best practices, and contribute ideas to improve processes, data quality, and reporting.
- Legally authorized to work in the job posting country
- Bachelor's degree in Finance, Accounting, Economics, or a related field
- 2 or more years of experience in market risk, product control, middle office, finance, or accounting
- Intermediate or greater proficiency working in Microsoft Excel
- Experience in market risk or energy commodity trading environment preferably physical/Financial Power & Natural Gas
- Experience with ETRM systems such as Allegro, Right Angle, Openlink
- Experience using SQL, VBA, or Python for data analysis, modeling, and reporting
- Strong analytical and numerical skills, with the ability to interpret complex data, run stress or scenario analyses, and identify trends in portfolio risk and P&L
- Must be willing and able, with or without reasonable accommodation, to comply with the following:
-
- Travel up to 5% of the time
- Occasional on-call duties
- Work extended hours, which may include evenings, weekends, and holidays
- Experience building reports and visualizations in Power BI or Tableau
- Demonstrated ability to enhance processes, controls, or reporting within a risk, trading, or finance function, with a focus on continuous improvement and accuracy
- Effective communication and collaboration skills, with the ability to explain risk concepts and insights to both technical and non-technical stakeholders
- Annual Variable Cash Incentive Program (VCIP) bonus
- 8% 401k company match
- Cash Balance Account pension
- Medical, Dental, and Vision benefits with an annual company contribution to a Health Savings Account for employees on HDHP
- Total well-being programs and incentives, including Employee Assistance Plan, well-being reimbursement, and backup family care services
Vacancy posted 4 days ago
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