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Senior Energy Risk Controller (all genders)

Arbeitsbeschreibung - Senior Energy Risk Controller (all genders)

We are Elli – a brand of Volkswagen Group. Elli is developing Energy and Charging Solutions for Business and Retail customers in Europe. We want to support our customers wherever energy meets mobility. Intelligent, easy to use, reliable and 100% environmentally friendly. Our Vision is to change the world of energy and make it tangible for our customers – easy and effortless. As part of the Volkswagen Group we want to be the first company to offer our clients a seamless and holistic charging and energy experience.Taking responsibility for the risk exposure of the energy trading business with the intrinsic
motivation to make a difference to a fast-moving team that is always looking for a competitive
edge while positioning itself as a European trading company.
  • Development & Implementation of a risk management framework for Elli's trading activities in Electricity Markets (focus short term trading with growing importance of forward hedging).
  • Establishing risk metrics and daily report for key trade KPIs (P&L, MtM, trade positions).
  • Responsibility for collateral management (margining accounts and bilateral agreements).
  • Understanding of evaluation & optimization models for asset backed trading, especially for battery energy storage systems (BESS).
  • Ability to formulate and communicate a strategic vision for the management of risk exposures in Elli's energy trading business.
  • In-depth knowledge of energy markets including regulatory trends, emerging technologies and customer needs.
  • Masters degree with quantitative background (e.g. maths, physics, economics or engineering).
  • Minimum of 3 years of experience in a risk management role - either in consulting or within at rading firm or a bank.
  • Experience with Energy Trading & Risk Management Solutions or alternatively core banking solutions (e.g. Endur, Allegro, Murex etc.).
  • Ability to navigate through German & European legislation and regulation (e.g. REMIT, MIFID) translating it into requirements for new and existing trading services.
  • Quantitative Modeling (risk evaluation, optimization, forecasting).
  • Standard KPIs for Risk Management in trading organizations.
  • Sound regulatory compliance oversight.
  • Sound understanding of back office processes, e.g. margining.
  • Cross-Functional Communication.
  • Fluent in German and English.
The position is assigned to grade I according to the Elli function grading.
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