Market Risk Manager Houston, TX, USA Hybrid

  • Selby Jennings
  • Houston, Texas
  • Full Time
A leading competitive power generation company is seeking a Market Risk Manager who will be responsible for daily market risk and P&L reporting, risk limit monitoring, portfolio analytics, and cross-functional communication to ensure transparent performance and risk management. This role delivers timely executive-ready insights, maintains key reporting processes and controls, and partners with Commercial, Operations, Finance/FP&A, and Investor Relations to support decision-making. Responsibilities: P&L and Market Risk Reporting Produce a morning preview of daily P&L and communicate key drivers. Perform P&L attribution and explain results versus expectations. Prepare P&L explained narratives suitable for executive and stakeholder consumption. Monitor risk limits and deliver risk limit and executive reporting. Maintain portfolio scorecards, dashboards, and recurring presentations. Document P&L assumptions and maintain a controlled assumptions library. Deliver ad hoc analysis to support trading, hedging, and management decisions. Develop and maintain PTC price buildup and related supporting analytics. Minimum Qualifications: Bachelor's degree in Finance, Economics, Engineering, Mathematics, Statistics, or a related field (or equivalent practical experience). 10+ years experience in market risk management, portfolio analytics, trading support, FP&A, or a related role with strong preference in PJM power markets, plus if experience with market risk reporting for generation assets Strong understanding of P&L drivers, risk metrics/limits, and valuation concepts (including mark-to-market where applicable). Advanced Excel skills and ability to work with large datasets; comfort working with dashboards and recurring reporting routines. Ability to synthesize complex results into clear written and verbal explanations for both technical and non-technical audiences. Strong process discipline, documentation mindset, and attention to controls and data quality. Preferred Qualifications: Experience in commodities/power/gas markets and hedge performance reporting. Proficiency with SQL and/or Python for automation, analytics, and data validation. Experience with planning and reporting tools (e.g., Planful) and BI platforms (e.g., Power BI/Tableau). Familiarity with risk systems, ETRM/CTRM platforms, and/or valuation models, experience with Endure Openlink a plus Demonstrated experience improving reporting processes, controls, and data pipelines.
Job ID: 522004186
Originally Posted on: 5/21/2026

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