Risk Manager Energy & Bunkering H/F CMA CGM
- Marseille 2e - 13
- CDI
- Bac +5
- Transport • Logistique
- Exp. 8 ans min.
Détail du poste
YOUR ROLE
The Bunkering Risk Manager leads and consolidates the financial and economic risks associated with Energy & Bunkering activities and provides an aggregated view of the department's exposure, performance and risks.
The Risk Manager is a key contributor, working alongside the VP to manage Oil, Gas & CO risk, purchasing performance and hedging strategies. The Risk Manager oversees day-to-day risk and performance matters in coordination with the Purchasing, Operations, Hedging and Management Control teams.
WHAT ARE YOU GOING TO DO ?
1. Risk Management - Oil, Gas & CO
- Oversee and consolidate Oil, Gas & CO exposures.
- Analyze market, operational and geopolitical risks and develop the associated stress tests.
- Manage internal Risk Committees and monitor the implementation of decisions.
- Prepare risk analyses for Management and oversee the deployment of Risk/CTRM tools.
2. Hedging Policy
- Define and recommend hedging strategies in coordination with the VP and the relevant Managers.
- Prepare hedging mandates for submission to Top Management.
- Oversee position monitoring and compliance with mandates.
- Challenge and consolidate the recommendations and strategies proposed by the Front Office teams.
3. Performance & Finance
- Define the energy purchasing performance model and manage the main financial KPIs.
- Coordinate the Budget, Forecast and PFA exercises.
- Oversee financial reporting and analyses key variances with Management Control. Ensure an appropriate level of Group reporting.
- Lead performance reviews and challenge financial and operational assumptions.
4. VP Support & Governance
- Provide a consolidated view of the department's Risk, Finance & Performance activities.
- Prepare reports and recommendations for the VP and Executive Committee.
- Perform the economic and financial analyses required to support decision-making.
WHO ARE WE LOOKING FOR ?
- Master's degree or equivalent in Finance, Risk Management, Economics, Business, Engineering or a related field.
- Strong knowledge of risk management, energy markets and hedging instruments.
- Fluent English is essential.
- More than eight years of experience in Risk Management within a trading company, finance function or similar environment.
- Significant experience in Oil, Gas and/or CO markets.
- Experience in defining or managing hedging strategies.
- Experience in risk analysis, exposure scenarios and stress testing.
- Experience in preparing reports and recommendations for senior management and Executive Committee audiences.
- Ability to challenge assumptions and make sound decisions.
- Strong analytical, synthesis and executive communication skills.
- Results-oriented.
- Team management and situational intelligence.
Come along on CMA CGM's adventure !
Les avantages
- Environnement de travail agréable au sein de la Tour Jacques SAADE
- Couverture santé et prévoyance
- Participation au remboursement des frais de transports en commun
- CE, resto d’entreprise, salle de sport, conciergerie (selon bureaux)
Les étapes de recrutement
Les étapes de recrutement peuvent varier selon l'offre à laquelle vous postulez.
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Etude de votre profil par notre équipe recrutement : vous recevrez une réponse
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Première prise de contact par notre équipe Recrutement pour les candidat(e)s
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Premier entretien RH
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Entretiens opérationnels
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Réponse et finalisation de l’offre
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CMA CGM en images
Publiée le 08/10/2026 - Réf : 592713-en_GB