Senior Portfolio Manager
Would you like to take the next step in your career and be part of an international company on the journey to become the forerunner in clean energy? As our Senior Portfolio Manager you will join our Hedging and Structuring team, part of the Trading and Asset Optimisation business area. We are responsible for hedging Fortum’s Nordic business from commodity market price risks. Our core is the Nordic market, but we are very active in European energy in general.
Your main mission will be to create additional value to the portfolios through active trading tactics. Your close collaboration with the other portfolio managers and with Fortum’s Market Intelligence team will support also you staying closely connected to the day-to-day market environment, while understanding the larger context of commodities and European energy.
Finally, as the world around us and markets along with it is constantly evolving, we are as well continuously developing our approaches and processes in trading. You are invited to be part of this process and contribute in setting the direction.
We offer you
This is the start of your meaningful career journey at Fortum. We actively encourage job rotation and development activities across the company with open leadership as our guiding principle. We believe the best in our people and want to foster a company culture that helps our people thrive. We offer you really exciting position at a heart of European energy commodities markets including a great opportunity to materially contribute to the top line of the business and to develop your own skills as a part of our dynamic Hedging and Structuring team. Given your close collaboration with physical trading desk, back office, risk and compliance control, this is also a great chance for you to broaden your network and get great insight into our business.
To succeed and thrive you need a Master’s degree in a relevant field, combined with a deep interest and passion in trading and portfolio management related topics. You have a minimum of seven years’ working experience in financial (e.g. commodities, equities, FX) trading or portfolio management, supported by proven successful track record from the same period. Your approach to trading is to actively create value in the portfolio. Your self-confidence is built over the years in trading and is based on the proven edge you have to the trading. You believe you can scale that edge to new markets and products as well as to different sizes of risk capital. Fluency in written and spoken English is a must. You are proactive, goal-oriented and you have the ability to work under pressure. Equally important is your positive and curious mindset, as well as your willingness to deepen your skills within trading and portfolio management. Lastly, you are a natural team player who contributes to a great team spirit with your communicative and collaborative skills.
Please send your application via our online recruitment tool by 7th December 2020 at the latest. For further information, please contact Kalle Kuokka, Head of Hedging and Structuring: +358 50 452 4624, firstname.lastname@example.org.
To be selected for the position, the candidate must go through background clearance and a health examination including drug testing.
- Ilmoitusnumero: 1400461
- Tehtäväalue: Pankki/rahoitus/vakuutus, Taloushallinto/tilintarkastus, Tutkimus/kehitys
- Työsuhde: Vakituinen työsuhde
- Työn tyyppi: Kokopäiväinen
- Hakuosoite: www-osoite
- Sijainti: Espoo, Ulkomaat/Norja, Ulkomaat/Puola, Ulkomaat/Ruotsi
- Lisätietoja antaa: Kalle Kuokka, Head of Hedging and Structuring: +358 50 452 4624, email@example.com