Commodity Risk Lead
Hybrid · Kuala Lumpur, Kuala Lumpur, Malaysia
Job Summary
Commodity Risk Lead responsible for delivering independent daily exposure, P&L, and analytics to support business insights. Lead creation and delivery of high-quality management information; provide transparency to deal structures and explain financial impacts in operational terms. Maintain independent validation of new business, validate prices and curves, and ensure market data integrity. Collaborate with finance, risk, and front office to resolve discrepancies in counterparty, pricing, volume, and MTM; validate deal-level MTM, exposure, and P&L; manage ancillaries and related P&L daily; engage with global teams to standardize processes. Role requires ability to assess and mitigate financial, operational, and reputational risk, with a focus on energy trading markets and derivatives; travel is not expected. The BP Careers site indicates this is a contractor-only environment; relocation is not eligible. Essential experience includes a degree and 6-10 years in finance/risk, with a capability to drive commercial focus and risk mitigation in a finance team.
Required Qualifications
- Degree with 6-10 years of finance, risk or related experience
- Proficiency in identifying risk mitigation strategies and analyzing exposures
- Ability to validate and monitor MTM, exposure, and P&L
- Experience with energy trading markets and derivative instruments (beneficial)
- Strong analytical, communication, and stakeholder engagement skills
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