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FINANCIAL RISK ANALYST (F/M/D)

Hybrid · Vilnius, Vilnius, Lithuania

Type
Full Time
Level
Mid Level
Education
Bachelors Degree
Company size
Large
Industry
Renewables And Environment

Job Summary

Financial Risk Analyst at Ignitis Group supporting the development and maintenance of a group-wide Financial Risk Management framework, with exposure and price data analysis, development of risk measurement models (including VaR, EaR, CFaR) for energy, gas, EUA, and GoO, and collaboration across business units to provide risk-based insights. The role emphasizes quantitative analysis, data template development, energy price simulations, risk reporting, and contributing to group risk management documentation, with a hybrid work model and opportunities for internal career growth.

Required Qualifications

  • University degree in Finance, Economics, Mathematics or related field with a strong numerical foundation
  • 1-2 years of experience in market / financial risk management or energy trading (power, gas, EUA, GoO)
  • Strong analytical / quantitative skills (understanding of risk models, VaR/EaR/CFaR metrics, Monte Carlo methods)
  • Basic understanding of the energy market fundamentals (Baltics and Polish markets)
  • Basic understanding of credit and liquidity management concepts
  • Intermediate knowledge of Python, VBA or R (data handling and visualization)
  • Good communication and presentation skills
  • Excellent English language skills
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Ignitis Group

FINANCIAL RISK ANALYST (F/M/D)

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