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Job Description
IMC is seeking a Risk Manager to join their team in Aarhus. This role is central to the business, situated on the trading floor, and involves supporting the assessment and management of market, credit, liquidity, and operational risks. The Risk Manager will work closely with trading and technology teams, contributing to energy trading activities and ensuring risk controls are suitable for a dynamic market. IMC is a global trading firm known for its research environment and technology.
    Role Involves:
  • Managing day-to-day risk management functions
  • Utilising Python-based tools for stress testing and scenario analysis
  • Developing real-time risk monitoring and reporting tools
  • Ensuring compliance with regulatory requirements
  • Analysing financial and energy market developments
    Requirements:
  • 2–5 years of experience in financial or energy market risk management
  • Experience in FX, commodity, or energy trading
  • Energy market knowledge (position limits, REMIT, EMIR, or MiFID II compliance)
  • Technical proficiency in a programming language (Python, MATLAB, or R)
  • Strong analytical and problem-solving skills
  • Proactive attitude and ability to thrive in a fast-paced environment
    Role Offers:
  • Opportunity to work at the heart of the business
  • Collaborative and high-performance culture
  • Chance to contribute to a global trading firm
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IMC

IMC is a global trading firm that operates in the financial markets since 1989. The company leverages advanced research and technology to provide liquidity and stability across various markets. With offices in the US, Europe, Asia Pacific, and India, IMC fosters a collaborative culture among its research, engineering, trading, and business operations teams. IMC is committed to innovation, continuous improvement, and actively engages with regulatory bodies across multiple jurisdictions to ensure adherence to evolving industry standards and compliance requirements.

All Jobs at IMC (123)