Exxon Mobil is seeking a qualified individual to support its Risk Management function. The role involves developing and validating quantitative valuation models for Oil Products markets, conducting thorough quantitative analysis, and effectively communicating insights across teams. The successful candidate will have an advanced degree in a relevant STEM field and experience in Energy Quantitative Risk. We offer competitive benefits including a share incentive plan and private healthcare.
Jul 13, 2026
Full time
Exxon Mobil is seeking a qualified individual to support its Risk Management function. The role involves developing and validating quantitative valuation models for Oil Products markets, conducting thorough quantitative analysis, and effectively communicating insights across teams. The successful candidate will have an advanced degree in a relevant STEM field and experience in Energy Quantitative Risk. We offer competitive benefits including a share incentive plan and private healthcare.
About the Company At ExxonMobil, our vision is to lead in energy innovations that advance modern living while reducing emissions. As one of the world's largest publicly traded energy and chemical companies, we are powered by a unique and diverse workforce fueled by the pride in what we do and what we stand for. The success of our Upstream, Product Solutions and Low Carbon Solutions businesses is the result of the talent, curiosity and drive of our people. They bring solutions every day to optimize our strategy in energy, chemicals, lubricants and lower emissions technologies. We invite you to bring your ideas to ExxonMobil to help create sustainable solutions that improve quality of life and meet society's evolving needs. Learn more about our What and our Why and how we can work together. What role you will play in our team We are looking for qualified and highly experienced individuals with strong credentials to support and advance ExxonMobil's Risk Management function. A member of the Quantitative Risk team which is part of the Trading Risk & Compliance organization, the successful candidate will help support ExxonMobil's Upstream Gas & Power as well as Downstream Crude & Products trading activities. What you will do Develop, validate, maintain quantitative valuation models of Oil Products (Gasoline, Jet Fuel, Heating Oil, etc.) markets. Develop, validate, maintain and support risk management models for Trading Strategies, Risk Management, Real Options Valuation, and Simulation of Forward Curves. Conduct quantitative analysis of structured deals to support market based asset valuations and design hedging strategies. Apply advanced statistical analysis into the design, analysis, implementation, and refinement of scenario analysis and stress test methodologies and tools. Model and estimate volatilities and correlations, both historical and implied. Provide recommendations for improvement and enhancement of risk management models. Effectively communicate recommendations on complex topics to a variety of constituents, including Management, Traders, Originators and Risk Management. Work on Quantitative Analysis topics as required based on evolving needs of this dynamic Risk organization. About you We are looking for someone who has a strong Quantitative / Risk Management background and has the following qualifications. Skills and Qualifications Advanced degree (Master's, MBA, or Ph.D.) in Finance, Economics, Statistics, Mathematics, Engineering, Computer Science or other STEM majors. Experience or knowledge of Oil Products (Gasoline, Jet Fuel, Heating Oil, etc.) markets. Highly experienced in Energy Quantitative Risk, Structuring, or Risk Analysis in Energy Commodities and Marketing: crude oil, refined products, power, natural gas, LNG, renewables, environmental products, etc. Solid understanding of option theory (Option Greeks, etc.), Monte Carlo simulation techniques (i.e., PCA) and mathematical optimization methods (i.e., Dynamic Programming). Knowledge of global or domestic energy and carbon markets, including fundamentals, origination and deal structuring, trading strategies and related risk management standards and best practices. Proficiency in Python, R, MATLAB, or other programming languages; additionally programming in SQL. Credit Risk Modeling experience is a plus. Preferred Qualifications / Experience Familiarity with energy commodities ETRM systems (i.e., Endur, Allegro, etc.) and experience with Tableau or comparable analytics platforms is a plus. We offer you Share incentive plan. Private healthcare for employees and their families. Free gym at most UK sites. Please note benefits may be changed from time to time without notice, subject to applicable law.
Jul 13, 2026
Full time
About the Company At ExxonMobil, our vision is to lead in energy innovations that advance modern living while reducing emissions. As one of the world's largest publicly traded energy and chemical companies, we are powered by a unique and diverse workforce fueled by the pride in what we do and what we stand for. The success of our Upstream, Product Solutions and Low Carbon Solutions businesses is the result of the talent, curiosity and drive of our people. They bring solutions every day to optimize our strategy in energy, chemicals, lubricants and lower emissions technologies. We invite you to bring your ideas to ExxonMobil to help create sustainable solutions that improve quality of life and meet society's evolving needs. Learn more about our What and our Why and how we can work together. What role you will play in our team We are looking for qualified and highly experienced individuals with strong credentials to support and advance ExxonMobil's Risk Management function. A member of the Quantitative Risk team which is part of the Trading Risk & Compliance organization, the successful candidate will help support ExxonMobil's Upstream Gas & Power as well as Downstream Crude & Products trading activities. What you will do Develop, validate, maintain quantitative valuation models of Oil Products (Gasoline, Jet Fuel, Heating Oil, etc.) markets. Develop, validate, maintain and support risk management models for Trading Strategies, Risk Management, Real Options Valuation, and Simulation of Forward Curves. Conduct quantitative analysis of structured deals to support market based asset valuations and design hedging strategies. Apply advanced statistical analysis into the design, analysis, implementation, and refinement of scenario analysis and stress test methodologies and tools. Model and estimate volatilities and correlations, both historical and implied. Provide recommendations for improvement and enhancement of risk management models. Effectively communicate recommendations on complex topics to a variety of constituents, including Management, Traders, Originators and Risk Management. Work on Quantitative Analysis topics as required based on evolving needs of this dynamic Risk organization. About you We are looking for someone who has a strong Quantitative / Risk Management background and has the following qualifications. Skills and Qualifications Advanced degree (Master's, MBA, or Ph.D.) in Finance, Economics, Statistics, Mathematics, Engineering, Computer Science or other STEM majors. Experience or knowledge of Oil Products (Gasoline, Jet Fuel, Heating Oil, etc.) markets. Highly experienced in Energy Quantitative Risk, Structuring, or Risk Analysis in Energy Commodities and Marketing: crude oil, refined products, power, natural gas, LNG, renewables, environmental products, etc. Solid understanding of option theory (Option Greeks, etc.), Monte Carlo simulation techniques (i.e., PCA) and mathematical optimization methods (i.e., Dynamic Programming). Knowledge of global or domestic energy and carbon markets, including fundamentals, origination and deal structuring, trading strategies and related risk management standards and best practices. Proficiency in Python, R, MATLAB, or other programming languages; additionally programming in SQL. Credit Risk Modeling experience is a plus. Preferred Qualifications / Experience Familiarity with energy commodities ETRM systems (i.e., Endur, Allegro, etc.) and experience with Tableau or comparable analytics platforms is a plus. We offer you Share incentive plan. Private healthcare for employees and their families. Free gym at most UK sites. Please note benefits may be changed from time to time without notice, subject to applicable law.
A leading global energy company is seeking an experienced Gas Trader to join their London trading team. The role requires a strong background in proprietary trading with a proven track record in European gas markets. Responsibilities include developing trade strategies and analyzing market data to maximize P&L. Candidates should have 2-5 years of trading experience, proficiency in data analysis, and excellent communication skills. This role plays a crucial part in supporting trading operations within a dynamic market environment.
Jun 28, 2026
Full time
A leading global energy company is seeking an experienced Gas Trader to join their London trading team. The role requires a strong background in proprietary trading with a proven track record in European gas markets. Responsibilities include developing trade strategies and analyzing market data to maximize P&L. Candidates should have 2-5 years of trading experience, proficiency in data analysis, and excellent communication skills. This role plays a crucial part in supporting trading operations within a dynamic market environment.
Please note: A system upgrade will occur from mid-March through early April, which may result in temporary delays in certain processes. For assistance, please reach out to your Recruiter by email. Select how often (in days) to receive an alert: We are seeking an, experienced Gas Trader to strengthen our London trading team. This is a high impact role for a Gas Trader with a strong track record of proprietary trading P&L generation in European gas markets. You will identify opportunities in the gas markets by leveraging market insight & quantitative analysis, then design and execute forward market trade strategies across GB & EU curves. Key Responsibilities Speculative & Proprietary Trading Develop and execute directional and spread trade strategies across UK and Europe gas curves. Manage positions down the curve in response to fundamental, technical, fuel /emission prices and weather driven signals. Identify pricing inefficiencies and distortions between markets, tenors, and products to generate P&L. Market Analysis & Modelling Analyse fundamental, regulatory, and market data to generate trade ideas and stress test scenarios. Collaborate with quants to enhance models, including inputs to volatility and cross commodity dynamics. Work with the analyst team to maintain gas supply/demand models factoring in both European and global dynamics. Risk & Performance Management Take ownership of trade strategies using VAR limits, P&L performance & trade management techniques. Work with Risk to maintain accurate position management. Adhere strictly to compliance and regulatory guidelines applicable to European and UK gas markets and to ExxonMobil policies. Have & maintain strong relationships with brokers, market participants, and counterparties to support deal flow business and market access. Work internally with origination, the operations team and contribute to widening desk capability and strategy development. Mentor and help to develop junior team members. What We're Looking For Experience & Track Record 2-5 years trading UK/EU gas markets with a demonstrable speculative P&L and proven commercial impact. Deep understanding of gas markets, ideally including experience with pipeline/storage optimization. Strong relationships with market counterparties and experience of deal development. Technical & Analytical Skills Proficiency in analysing large datasets; working knowledge of Python, SQL, and advanced Excel preferred. Ability to work with quantitative teams on improving models, signals, and analytics that support trading strategy. Highly numerate, decisive, and comfortable taking well considered risk. Excellent communication skills and the ability to articulate trade rationale clearly. Strong situational awareness, discipline, and an ability to operate effectively in fast moving markets. ExxonMobil ExxonMobil is an Equal Opportunity Employer All qualified applicants will receive consideration for employment without regard to race, color, religion, genetic information, or physical or mental disability
Jun 28, 2026
Full time
Please note: A system upgrade will occur from mid-March through early April, which may result in temporary delays in certain processes. For assistance, please reach out to your Recruiter by email. Select how often (in days) to receive an alert: We are seeking an, experienced Gas Trader to strengthen our London trading team. This is a high impact role for a Gas Trader with a strong track record of proprietary trading P&L generation in European gas markets. You will identify opportunities in the gas markets by leveraging market insight & quantitative analysis, then design and execute forward market trade strategies across GB & EU curves. Key Responsibilities Speculative & Proprietary Trading Develop and execute directional and spread trade strategies across UK and Europe gas curves. Manage positions down the curve in response to fundamental, technical, fuel /emission prices and weather driven signals. Identify pricing inefficiencies and distortions between markets, tenors, and products to generate P&L. Market Analysis & Modelling Analyse fundamental, regulatory, and market data to generate trade ideas and stress test scenarios. Collaborate with quants to enhance models, including inputs to volatility and cross commodity dynamics. Work with the analyst team to maintain gas supply/demand models factoring in both European and global dynamics. Risk & Performance Management Take ownership of trade strategies using VAR limits, P&L performance & trade management techniques. Work with Risk to maintain accurate position management. Adhere strictly to compliance and regulatory guidelines applicable to European and UK gas markets and to ExxonMobil policies. Have & maintain strong relationships with brokers, market participants, and counterparties to support deal flow business and market access. Work internally with origination, the operations team and contribute to widening desk capability and strategy development. Mentor and help to develop junior team members. What We're Looking For Experience & Track Record 2-5 years trading UK/EU gas markets with a demonstrable speculative P&L and proven commercial impact. Deep understanding of gas markets, ideally including experience with pipeline/storage optimization. Strong relationships with market counterparties and experience of deal development. Technical & Analytical Skills Proficiency in analysing large datasets; working knowledge of Python, SQL, and advanced Excel preferred. Ability to work with quantitative teams on improving models, signals, and analytics that support trading strategy. Highly numerate, decisive, and comfortable taking well considered risk. Excellent communication skills and the ability to articulate trade rationale clearly. Strong situational awareness, discipline, and an ability to operate effectively in fast moving markets. ExxonMobil ExxonMobil is an Equal Opportunity Employer All qualified applicants will receive consideration for employment without regard to race, color, religion, genetic information, or physical or mental disability
Job Role Description The Structured Trade Finance Advisor will be an integral member of both the Global Trading Finance and Origination teams with focus on supporting origination activity, reporting to the Trade Finance Manager for Global Trading with guidance from the global Structured Trade Finance Chief. Responsibilities Collaboratively develop deal structures using structured trade finance tools to enable origination activity. Develop funding and other solutions for third parties, including (but not limited to): prepays to producers for term offtake, pre-export financing asset-backed lending inventory finance on behalf of suppliers and/or buyers for waterborne cargoes in transit, pipeline transport, and land-based storage refinery intermediation, tolling/processing agreements extended payment terms to buyers, potentially secured asset management agreements (AMAs) Lead a regional deal team that develops and syndicates standard and bespoke financing structures that enable the regional Global Trading Origination team to gain a competitive advantage and provide innovative solutions that meet GT customer's needs and reward shareholders Build and support associated banking/syndication relationships to ensure the timely placement of deals, development of market insights and information relevant to Global Trading for current and future business, and potential trading/origination opportunities Contribute in all aspects of structured trade and commodity finance transactions from complex modeling to non-numerical activities, i.e., term sheet development, credit and due diligence review, structuring and documentation, report writing, contract review, presenting to key stakeholders and senior trading and finance management Apply appropriate financing techniques to complex situations while actively considering portfolio and stakeholder impact, bring deep understanding of how risk and return are split across the structure from both an ExxonMobil and the syndication market perspective Apply expertise and coordinate with origination, legal and other teams to fully analyze transactions and ensure appropriate documentation, risk mitigations, and limits to minimize defaults and maximize recoveries, including the assessment and implementation of security/collateral arrangements Ensure transactions are compliant with corporate funding strategies, approved instruments/structures, return metrics, etc. (in addition to Trading strategies and policies) Improve financial, risk & optimization valuation models and techniques to support commercial activity including valuation and pricing of credit, working capital and optionality Collaborate across Global Trading and Finance Functions to achieve the best business outcome, including coordinating input from other functions, like Credit, Law, Risk, Compliance, Financial Accounting Key Interfaces Global Structured Trade Finance Manager Regional / Global Trading Origination teams Additional support functions (Planning & Stewardship, Law, Treasurers, etc.) Systems Microsoft office Suite (Excel, Access, Word, PowerPoint, PowerBI) Skills and Qualifications Employment/Work Experience: Has experience at a trading house, bank, or major oil company directly handling commodity finance, trade finance, and structured transactions. Track record of closing complex financings with excellent commercial, negotiation and deal structuring skills. Financial background in capital markets. Experience level: significant experience (8+ years); Associate Director/Director-level position. Education: Finance, Economics, Business or other technical degrees. Skill sets & experience: Highly entrepreneurial and commercial mindset Significant financial acumen and analytical skills Deal structuring experience; demonstrated ability to develop new and innovative solutions Ability to solve complex problems and work diligently without supervision as part of a multifunctional team. Understanding of drivers and dynamics of structured trade and commodity finance markets Good understanding of risk management and mitigation strategies Ability to effectively interface and influence externally and internally Ability to understand tax, accounting, legal, compliance, and regulatory implications in deal structuring and operationalization Collaborative approach to working joint initiatives, across geographies and cultures Strategic thinking, strong business and commercial insight and judgment Knowledge of credit derivatives, foreign exchange markets desired
Jun 25, 2026
Full time
Job Role Description The Structured Trade Finance Advisor will be an integral member of both the Global Trading Finance and Origination teams with focus on supporting origination activity, reporting to the Trade Finance Manager for Global Trading with guidance from the global Structured Trade Finance Chief. Responsibilities Collaboratively develop deal structures using structured trade finance tools to enable origination activity. Develop funding and other solutions for third parties, including (but not limited to): prepays to producers for term offtake, pre-export financing asset-backed lending inventory finance on behalf of suppliers and/or buyers for waterborne cargoes in transit, pipeline transport, and land-based storage refinery intermediation, tolling/processing agreements extended payment terms to buyers, potentially secured asset management agreements (AMAs) Lead a regional deal team that develops and syndicates standard and bespoke financing structures that enable the regional Global Trading Origination team to gain a competitive advantage and provide innovative solutions that meet GT customer's needs and reward shareholders Build and support associated banking/syndication relationships to ensure the timely placement of deals, development of market insights and information relevant to Global Trading for current and future business, and potential trading/origination opportunities Contribute in all aspects of structured trade and commodity finance transactions from complex modeling to non-numerical activities, i.e., term sheet development, credit and due diligence review, structuring and documentation, report writing, contract review, presenting to key stakeholders and senior trading and finance management Apply appropriate financing techniques to complex situations while actively considering portfolio and stakeholder impact, bring deep understanding of how risk and return are split across the structure from both an ExxonMobil and the syndication market perspective Apply expertise and coordinate with origination, legal and other teams to fully analyze transactions and ensure appropriate documentation, risk mitigations, and limits to minimize defaults and maximize recoveries, including the assessment and implementation of security/collateral arrangements Ensure transactions are compliant with corporate funding strategies, approved instruments/structures, return metrics, etc. (in addition to Trading strategies and policies) Improve financial, risk & optimization valuation models and techniques to support commercial activity including valuation and pricing of credit, working capital and optionality Collaborate across Global Trading and Finance Functions to achieve the best business outcome, including coordinating input from other functions, like Credit, Law, Risk, Compliance, Financial Accounting Key Interfaces Global Structured Trade Finance Manager Regional / Global Trading Origination teams Additional support functions (Planning & Stewardship, Law, Treasurers, etc.) Systems Microsoft office Suite (Excel, Access, Word, PowerPoint, PowerBI) Skills and Qualifications Employment/Work Experience: Has experience at a trading house, bank, or major oil company directly handling commodity finance, trade finance, and structured transactions. Track record of closing complex financings with excellent commercial, negotiation and deal structuring skills. Financial background in capital markets. Experience level: significant experience (8+ years); Associate Director/Director-level position. Education: Finance, Economics, Business or other technical degrees. Skill sets & experience: Highly entrepreneurial and commercial mindset Significant financial acumen and analytical skills Deal structuring experience; demonstrated ability to develop new and innovative solutions Ability to solve complex problems and work diligently without supervision as part of a multifunctional team. Understanding of drivers and dynamics of structured trade and commodity finance markets Good understanding of risk management and mitigation strategies Ability to effectively interface and influence externally and internally Ability to understand tax, accounting, legal, compliance, and regulatory implications in deal structuring and operationalization Collaborative approach to working joint initiatives, across geographies and cultures Strategic thinking, strong business and commercial insight and judgment Knowledge of credit derivatives, foreign exchange markets desired
Job Role Description The Structured Trade Finance Advisor will be an integral member of both the Global Trading Finance and Origination teams with focus on supporting origination activity, reporting to the Trade Finance Manager for Global Trading with guidance from the global Structured Trade Finance Chief. Responsibilities Collaboratively develop deal structures using structured trade finance tools to enable origination activity. Develop funding and other solutions for third parties, including (but not limited to): prepays to producers for term offtake, pre-export financing asset-backed lending inventory finance on behalf of suppliers and/or buyers for waterborne cargoes in transit, pipeline transport, and land-based storage refinery intermediation, tolling/processing agreements extended payment terms to buyers, potentially secured asset management agreements (AMAs) Lead a regional deal team that develops and syndicates standard and bespoke financing structures that enable the regional Global Trading Origination team to gain a competitive advantage and provide innovative solutions that meet GT customer's needs and reward shareholders Build and support associated banking/syndication relationships to ensure the timely placement of deals, development of market insights and information relevant to Global Trading for current and future business, and potential trading/origination opportunities Contribute in all aspects of structured trade and commodity finance transactions from complex modeling to non-numerical activities, i.e., term sheet development, credit and due diligence review, structuring and documentation, report writing, contract review, presenting to key stakeholders and senior trading and finance management Apply appropriate financing techniques to complex situations while actively considering portfolio and stakeholder impact, bring deep understanding of how risk and return are split across the structure from both an ExxonMobil and the syndication market perspective Apply expertise and coordinate with origination, legal and other teams to fully analyze transactions and ensure appropriate documentation, risk mitigations, and limits to minimize defaults and maximize recoveries, including the assessment and implementation of security/collateral arrangements Ensure transactions are compliant with corporate funding strategies, approved instruments/structures, return metrics, etc. (in addition to Trading strategies and policies) Improve financial, risk & optimization valuation models and techniques to support commercial activity including valuation and pricing of credit, working capital and optionality Collaborate across Global Trading and Finance Functions to achieve the best business outcome, including coordinating input from other functions, like Credit, Law, Risk, Compliance, Financial Accounting Key Interfaces Global Structured Trade Finance Manager Regional / Global Trading Origination teams Additional support functions (Planning & Stewardship, Law, Treasurers, etc.) Systems Microsoft office Suite (Excel, Access, Word, PowerPoint, PowerBI) Skills and Qualifications Employment/Work Experience: Has experience at a trading house, bank, or major oil company directly handling commodity finance, trade finance, and structured transactions. Track record of closing complex financings with excellent commercial, negotiation and deal structuring skills. Financial background in capital markets. Experience level: significant experience (8+ years); Associate Director/Director-level position. Education: Finance, Economics, Business or other technical degrees. Skill sets & experience: Highly entrepreneurial and commercial mindset Significant financial acumen and analytical skills Deal structuring experience; demonstrated ability to develop new and innovative solutions Ability to solve complex problems and work diligently without supervision as part of a multifunctional team. Understanding of drivers and dynamics of structured trade and commodity finance markets Good understanding of risk management and mitigation strategies Ability to effectively interface and influence externally and internally Ability to understand tax, accounting, legal, compliance, and regulatory implications in deal structuring and operationalization Collaborative approach to working joint initiatives, across geographies and cultures Strategic thinking, strong business and commercial insight and judgment Knowledge of credit derivatives, foreign exchange markets desired
Jun 25, 2026
Full time
Job Role Description The Structured Trade Finance Advisor will be an integral member of both the Global Trading Finance and Origination teams with focus on supporting origination activity, reporting to the Trade Finance Manager for Global Trading with guidance from the global Structured Trade Finance Chief. Responsibilities Collaboratively develop deal structures using structured trade finance tools to enable origination activity. Develop funding and other solutions for third parties, including (but not limited to): prepays to producers for term offtake, pre-export financing asset-backed lending inventory finance on behalf of suppliers and/or buyers for waterborne cargoes in transit, pipeline transport, and land-based storage refinery intermediation, tolling/processing agreements extended payment terms to buyers, potentially secured asset management agreements (AMAs) Lead a regional deal team that develops and syndicates standard and bespoke financing structures that enable the regional Global Trading Origination team to gain a competitive advantage and provide innovative solutions that meet GT customer's needs and reward shareholders Build and support associated banking/syndication relationships to ensure the timely placement of deals, development of market insights and information relevant to Global Trading for current and future business, and potential trading/origination opportunities Contribute in all aspects of structured trade and commodity finance transactions from complex modeling to non-numerical activities, i.e., term sheet development, credit and due diligence review, structuring and documentation, report writing, contract review, presenting to key stakeholders and senior trading and finance management Apply appropriate financing techniques to complex situations while actively considering portfolio and stakeholder impact, bring deep understanding of how risk and return are split across the structure from both an ExxonMobil and the syndication market perspective Apply expertise and coordinate with origination, legal and other teams to fully analyze transactions and ensure appropriate documentation, risk mitigations, and limits to minimize defaults and maximize recoveries, including the assessment and implementation of security/collateral arrangements Ensure transactions are compliant with corporate funding strategies, approved instruments/structures, return metrics, etc. (in addition to Trading strategies and policies) Improve financial, risk & optimization valuation models and techniques to support commercial activity including valuation and pricing of credit, working capital and optionality Collaborate across Global Trading and Finance Functions to achieve the best business outcome, including coordinating input from other functions, like Credit, Law, Risk, Compliance, Financial Accounting Key Interfaces Global Structured Trade Finance Manager Regional / Global Trading Origination teams Additional support functions (Planning & Stewardship, Law, Treasurers, etc.) Systems Microsoft office Suite (Excel, Access, Word, PowerPoint, PowerBI) Skills and Qualifications Employment/Work Experience: Has experience at a trading house, bank, or major oil company directly handling commodity finance, trade finance, and structured transactions. Track record of closing complex financings with excellent commercial, negotiation and deal structuring skills. Financial background in capital markets. Experience level: significant experience (8+ years); Associate Director/Director-level position. Education: Finance, Economics, Business or other technical degrees. Skill sets & experience: Highly entrepreneurial and commercial mindset Significant financial acumen and analytical skills Deal structuring experience; demonstrated ability to develop new and innovative solutions Ability to solve complex problems and work diligently without supervision as part of a multifunctional team. Understanding of drivers and dynamics of structured trade and commodity finance markets Good understanding of risk management and mitigation strategies Ability to effectively interface and influence externally and internally Ability to understand tax, accounting, legal, compliance, and regulatory implications in deal structuring and operationalization Collaborative approach to working joint initiatives, across geographies and cultures Strategic thinking, strong business and commercial insight and judgment Knowledge of credit derivatives, foreign exchange markets desired