Senior Risk Analyst

Greenland Commodities is a science & technology-based, fast-paced growing trading house, located in the heart of Europe, Prague, CZ. We unite our international trading experiences with science and technology supported by well-educated experts in their niche fields. Our trading desks focus on a variety of trading products; mainly power, gas, oil, coal, and certificates across 20 countries and 12 energy exchanges.

Greenland Commodities empowers its employees through real-time trading experiences, mentors, and value-added strategies in challenging market environments. We are passionately active and trading on each minute of a year.

We are Hiring in Prague!

Are you looking for a job as a Senior Risk Analyst? Be a part of our technology fast-paced trading house and get to work in a vibrant environment.

Department: Risk Management
Project Location(s): Prague, Czech
Education: Master or Ph.D. level; Min. Bachelor’s Degree
Compensation: Salary

Your Role :

We are looking for a self-motivated candidate with a high level of attention to detail and discretion. Your daily responsible will include risk analyses including global energy and commodity markets, conduct and calculate risk exposure of trading activities and report results to the traders and management. Part of your job will be developing quantitative risk methods and their implementations. Every day you will
proactively adjust and react to risk changes in the market, you will monitor commodity sector risk parameters
and take actions to provide timely input and with other colleagues you will be part of risk automation process.

Requirements :

  • Preferably Master or Ph.D. level; min. bachelor’s degree (Finance, Economics, Math, Physics, etc.), Master or Ph.D. is a plus.
  • At least 3 years of risk management experience with quantitative analysis capability in energy sector and/or financial service sector.
  • High problem solving, analytical thinking, negotiation skills
  • Familiarity in the statistics applications and programming
    languages, Python, MATLAB, SQL, R is a plus.
  • Excellent knowledge of English (speaking/writing/listening)
  • Team player, communicative person, fast learner


  • Value-at-Risk (VAR) Calculations
  • Energy Markets
  • Analytical skills
  • Python
  • Research
  • Data Analysis
  • Operational Risk Management
  • Quantitative Finance
  • Model Risk
  • Market Risk

Why Appy?

  • Being part of fast-growing commodity trading house at the center of Europe
  • Access to the most – modern technologies, and real-time commodity exchanges
  • Enhanced learning experience with international colleagues from IT, Quant, Science Desk, and so on
  • Solid career development, and chance to become Head of Risk
  • Analyst department in close future (outside/inside Europe)
  • Pleasant benefits package (modern office with a gym in the same building, easy transportation access, birthday-extra day off, meal/transport contribution, snacks/refreshment/coffee in the office, etc.

Location: Prague, Czechia

Join our fast-growing successful Team!

Apply today!