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Global Trading Market Risk - Product Control Advisor

Exxon Mobil Corporation
Bangalore, KA, IN, 560066
On-site

About this role

About the Role The Global Trading Market Risk - Product Control Advisor provides independent oversight of ExxonMobil's trading activities, ensuring accurate valuation, risk measurement, and adherence to Market Risk standards across a global trading portfolio. What You'll Do

  • Serve as the primary technical expert and focal point for Product Control and Market Risk, maintaining end-to-end understanding of trading strategies, exposures, arbitrage, and embedded risks across physical and financial portfolios; support timely and accurate trade capture; deliver high-quality analytics and reporting on margin attribution, daily risk exposures, valuation assumptions, limit usage, and emerging trends.
  • Independently assess risk profiles using knowledge of commodity fundamentals, regional spreads, and market drivers; support stress testing, scenario analysis, and sensitivities for risk decisions.
  • Apply quantitative methods such as Monte Carlo simulation, parametric VaR, options valuation, and scenario stress testing; oversee validation of forward curves; develop and maintain tools, dashboards, and automations to support delivery.
  • Operate within ERP and ETRM platforms such as SAP, Endur, Allegro; contribute to design and testing of enhancements and risk modules; leverage market data and execution platforms such as Bloomberg and Trading Technologies for pricing verification and settlement accuracy; drive digital transformation and data integration.
  • Monitor activity for governance and controls; participate in change management for new activities, strategies, markets, or products; investigate and report limit breaches or valuation anomalies.
  • Collaborate with Finance on month-end close, P and L validation, and earnings reconciliation; provide insights on new strategies and risks; contribute to cross-functional forums.
  • Lead strategic projects to improve product control processes, risk measurement, valuation governance, and analytics capability; mentor colleagues and promote operational excellence and innovation across Trading and Risk. What We’re Looking For
  • Required: 10+ years of experience in petrochemical trading, financial or energy risk management; strong analytical skills, attention to detail and process execution; knowledge of financial instruments and derivatives; leadership and communication skills with senior management; comfort with risk modelling and uncertainty; advanced financial and risk analysis capabilities.
  • Preferred Academic: Bachelor's degree or above (Master's, MBA, CFA, etc.) in Quant Finance, Business Economics, Computer Science, Finance, or Management. Nice to Have
  • Experience with or knowledge of additional risk evaluation techniques, scenario analysis, and market analytics; familiarity with data automation and risk analytics modernization is a plus. Compensation & Benefits
  • Salary range and benefits are not disclosed in this posting.

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