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Portfolio Trader
Posted 8 days 20 hours ago by Marlin Selection Ltd
Permanent
Not Specified
Other
London, United Kingdom
Job Description
Job Responsibilities 
- Developing and implementing effective risk management strategies for the portfolio.
- Working with portfolio quants to create or update code to improve portfolio analysis, including second- and third-order exposures. You may also develop and maintain the code yourself.
- Valuing, managing, and hedging peaking plants and batteries for externally closed market deals.
- Supporting the origination and hedging of new products as part of the Portfolio Management team.
Minimum Requirements:
- Bachelor's or Master's degree in a quantitative discipline (e.g., physics, computer science, or mathematics).
- Experience in Python development is preferred but not required.
- Experience in trading power, gas, carbon, or spark spreads in the UK power market.
If you are interested in the role, please apply via the link provided and get in touch with Zoi at Marlin Selection.
Marlin Selection Ltd
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