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Commodity Risk Manager, Energy & Packaging

Unilever
hybrid
100VE - London Posted Aug 21, 2026

About this role

Commodity Risk Manager, Energy & Packaging

About the Role

Manage direct and embedded energy and packaging commodity price risk as part of the commodity risk management group. Lead and own the global portfolio to provide market analysis, fundamental and technical, run frequent price and volatility forecasting, implement hedging strategies through use of listed derivatives, OTC products, or proxy hedges in compliance with internal policies and hedge accounting principles.

Key Responsibilities

  • Conduct fundamental research and analyze trends in energy-, packaging and related macro markets and provide market price forecasts for all materials under scope – generate insights from all known sources and communicate to the business and CRM group.
  • Formulate and implement a strategy to address business risk exposure under all aspects of price, duration, and volatility.

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