Finance and Risk Analyst – Market Risk, Renewable Energies
Köln, North Rhine-Westphalia, Germany
Full Time
2 hours ago
No H1B
Key skills
PythonRisk Management
About this role
Role Overview
As part of our Commercial Finance and Risk team, made up of five colleagues, you will be jointly responsible within the Finance unit for the independent review of our products and the underlying processes.
You will work together with the business division at Next to analyze existing and new products and evaluate them in terms of profitability and market risk.
As part of our reporting and risk management, you will also work closely with colleagues from Controlling and Trading and maintain an overview of KPIs and our trading activities.
Requirements
You have a completed degree in economics, engineering, or a natural science.
You have at least five years of relevant experience in the energy sector, market risk, and risk management.
You communicate confidently in German and English, both verbally and in writing.
You possess deep knowledge of market risk and have solid experience with VaR calculations and stress testing.
You are proficient in MS Office and have advanced programming skills in Python or similar languages.
You enjoy working with numbers, conduct precise analyses, and bring in-depth experience with statistical methods and key metrics.
You are solution-oriented, act responsibly and independently, and appreciate teamwork as well as taking ownership of your own areas of responsibility.
Tech Stack
Python
Benefits
Hybrid and flexible working, including home office equipment
The option to accumulate additional vacation days with our flextime model and use them flexibly
Comprehensive development opportunities such as language courses, coaching, and training
Company bike (JobRad) and Germany-wide public transport ticket (Deutschlandticket)
Sports benefits such as Urban Sports Club membership and yoga classes