About this role
Power Trader
Power Trader page is loaded Power Trader Apply locations Mumbai - BG Housetime type Full timeposted on Posted Todayjob requisition id R201423, IndiaJob Family Group:Trading JobsWorker Type:RegularPosting Start Date:July 27, 2026Business Unit:Trading and SupplyExperience Level: Experienced ProfessionalsJob Description: Where you fitShell Energy India (SEI) serves Indian customers as a licenced power trader and is expanding its power trading activity as part of its broader gas, power and environmental products portfolio.The Power Trader is responsible for executing power trading transactions and optimizing the power portfolio in line with SEI’s approved mandate and Shell’s control framework, delivering value while ensuring strong operational discipline, governance, and risk management.The role sits within SEI’s Power Trading set‑up and interfaces closely with Commercial Operations, Treasury/ Finance, Market Risk, Credit, Legal and Compliance, and (where relevant) operations/ asset interfaces to ensure timely scheduling, settlement readiness, and adherence to operating procedures for exchange participation.What’s the roleAccountabilities and Key Responsibilities1) Trading Strategy, Market Analysis & Position ManagementAnalyse market conditions and develop/ implement trading strategies; manage exposures along the curve within mandated authorities.Track market structure and product opportunities relevant to SEI’s strategy (e.g., exchange segments and green/ term products). Share market intelligence across the trading network; contribute to a strong team culture and collaborative decision‑making.2) Trade Execution (Exchange / Bilateral as applicable)Execute power trades within approved authorities; maintain high standards of accuracy and error‑free execution.Ensure deals are executed with clear risk articulation and aligned to the desk’s agreed positioning and constraints.3) Operational Discipline, Scheduling & Settlement ReadinessCoordinate with operations/ commercial operations on demand/ position requirements and ensure timely submission/ communication required for exchange execution and delivery.Work with Treasury/ Finance to ensure pre‑funding/ settlement readiness and timely confirmations aligned to the operating procedure for exchange trading.Support reconciliation and post‑trade controls as required by the operating procedure (e.g., reporting and reconciliation expectations).4) Risk, Controls, Compliance & GovernanceUnderstand and communicate the risks being taken; comply with Shell control framework and all regulatory guidelines relevant to trading.Partner with Compliance/ Legal/ Credit/ Risk on trading venue and process requirements and maintain appropriate records/approvals in line with internal controls5) Portfolio Growth & New Business ModelsWork with Business Development/ Origination to assess and execute new business models and portfolio opportunities while balancing time between execution and business development.6) Coachin