Develop and execute short-term optimization strategies, with a focus on identifying profitable opportunities while managing risk exposure.
In-depth knowledge of market mechanisms and profits optimization on each of these platforms.
Develop and modelling tools for analysis and monitoring of trading data and forward positions, forward prices, basis and volatility curves, contractual obligations and profit and loss analysis and reporting.
Development of proprietary probabilistic models for market variables analysis and valuation.
Development of risk management models and commercial positions.
Actively involved in developing strategies to optimize the portfolio management.
Work collaboratively with other departments to ensuring understanding and adherence to MET policies, trading compliance policies and standards, and Code of Conduct