Link our largest financial risks with the hedging strategies that manage them, translating outcomes into precise financial and business impact. Work with stakeholders in a dynamic, evolving organization, presenting decision‑ready insights from the impact of our hedging strategies to management.
You’ll join Portfolio & Structured Risk in Market Risk (T&R) where you, together with your colleagues, will simplify complex financial data by leveraging our knowledge about the business, risk factors, energy and financial markets, and accounting impacts. We work with a large set of stakeholders across the organization interacting with many different nationalities and backgrounds.
As a team, we are curious and commercially oriented. We value a professional atmosphere yet keep an informal tone with room for fun and laughter. We prioritize learning and knowledge sharing across the team.
Maybe you’ve read the above and can see you have some transferable skills, even though they don’t quite match all the points. If you think you can bring something to the team, we still encourage you to apply.
Send your application to us as soon as possible. We’ll be conducting interviews on a continuous basis and reserve the right to take down the advert when we’ve found the right candidate.
As an applicant or employee, you may request reasonable work and position accommodation or adjustments via accommodation@orsted.com.
Please note that for your application to be taken into consideration, you must submit your application via our online career pages and answer the screening questions relevant for your country. We don’t take applications or inquiries from external recruiters or agencies into account for this position.
Not applicable
Full‑time
Finance and Sales
Civil Engineering, Oil and Gas, Renewable Energy, Semiconductor Manufacturing
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