
Portfolio Trader
- London
- Permanent
- Full-time
- Create, agree, and enact strategies to add value trading around the books.
- Effectively manage peaking power plant options and batteries within the portfolio using market products and trades.
- Value, manage and hedge peaking plant and batteries for deals closed externally in the market
- Value, manage and hedge deals originated for hedging purposes.
- Work together with portfolio quants to create new code or update existing code to improve our understanding of the portfolio and second and third order exposures. You may also develop and update the code yourself.
- Closely collaborate with the quantitative and trading teams and may own the deployment pipeline and cloud servers or work closely with those that own these processes.
- Own positions and limits for the flex book which includes peakers and batteries. Trade in the market to manage the risk around these positions staying within mandated limits, whilst adding value to the book.
- Value new deals for peaking plant and batteries.
- Work together with other traders on the team, providing cover for the PPA and retail books
- Agree with other traders on the team the operation of the shape book.
- Add value to the book through enactment of fundamental, statistical, or other trading strategies.
- Work together with quants within the team to improve position tools and reports. Take responsibility for the accuracy of these reports.
- Beneficial if the candidate can contribute to development, writing own code in python, but this is not essential.
- Analyse, innovate, develop, and optimise the models used by the Portfolio Management team to ensure that they work efficiently and effectively with the aim of reducing the cost of position management within the business
- Work as part of the Portfolio Management team, efficiently supporting the origination and hedging of new products where appropriate.
- Preferably Bachelor/Master's degree in a quantitative discipline - preferably in physics, computer science or mathematics
- Experience of Python and development preferred but not essential.
- Experience of trading power, gas, carbon and or spark spreads in the UK power market.
- Proficient IT skills, ideally including SQL; C#; MySQL; REST API; Cloud database; Cloud deployment and Octopus
- Effective team player with the ability to collaborate across a diverse set of teams
- Self-driven, hands-on mentality with the ability to work under pressure and to tight deadlines
- Efficient communicator with the ability to explain complex issues simply and effectively
- Excellent English language skills, both verbally and written
- Diligent with a good attention to detail - comfortable performing repetitive tasks as required
- Work in a market leading Portfolio Management team with a track record of delivering strong value under challenging, changing and varied market conditions.
- Work within a diverse portfolio taking ownership of positions and P&L
- Work with a market leading origination team who are constantly at the cutting edge of new products
- Build new tools and models to extract the most value from the portfolio
- The chance to grow your career alongside a truly global network of experts, leaders, specialists and graduates from different countries and backgrounds.
- The opportunity to work somewhere with pride, for a genuinely ethical employer.
- Unlimited learning opportunities at various levels of the organisation including LinkedIn Learning and inspiring leaderships program like IMD.