BASIC PURPOSE
The primary purpose of this role is to schedule various products within the multiple pipeline systems operated by Musket Europe, SARL. This key position necessitates strong prior experience in risk and trading analytics, specifically for our Geneva team, which boasts one of the richest talent pools for energy supply and trading in Europe. We look forward to welcoming additional team members in the future.
MAJOR RESPONSIBILITIES
- Schedule various products within the multiple pipeline systems operated by Musket Europe, SARL.
- Enter and modify nominations, manage allocations, and maintain inventories.
- Maintain consistent communication about scheduling plans with accounting, traders, mid-office, and third-party personnel. Reconcile any discrepancies with accounting and SRA. Notify traders of potential scheduling conflicts and suggest solutions to mitigate them.
- Solarc: Retrieve and enter movement tickets, enter trades, schedule movements, create and schedule interbook physical and futures interbooks.
- Input trades into SRA, calculate position, position change, and provide explanations for changes. Maintain rail loadings, term deals, future date information, and origin starts reports. Price EFPs with brokers and maintain a credit report for future credit risks.
- Participate in leadership development training with Peerview & Harrison.
- Develop mid-office personnel and train RTAs.
- Perform other duties as assigned.
EDUCATION AND EXPERIENCE
- Education:
- High School Diploma or equivalent required.
- Bachelor's degree in business or a related field required.
- Experience:
- Knowledge of the U.S., European, and Asian refined and renewable product markets.
- Ability to analyze market changes and communicate insights with traders in the U.S., Geneva, and Canadian offices.
- Experience in generating trade ideas and strategies, as well as trading a speculative paper book with a $50k Value at Risk (VAR).
- Proficiency in utilizing Python and SQL to efficiently organize, structure, and analyze large datasets.
- Experience in building comprehensive U.S. and European balances to support market analysis and decision-making.
- Understanding of U.S. and European refined and renewable product markets.
- Experience overseeing tracking of U.S. import/export vessel activity and refinery turnarounds; prior experience in a global risk/trading analyst role is preferred.
SKILLS AND PHYSICAL DEMANDS
- Hard Skills:
- Strong proficiency in Microsoft Office Suite and advanced knowledge of Solarc RA and Citrix/Atlas systems.
- Ability to schedule training classes such as Inspectorate & Colonial.
- Knowledge of various pipelines, grades, deal types, etc.
- Soft Skills:
- Strong organizational skills and work ethic.
- Excellent time management abilities.
- Effective communication skills.
- Typical Physical Demands:
- Requires prolonged sitting, some bending, and stooping.
- Occasional lifting of up to 25 pounds.
- Manual dexterity sufficient to operate a computer keyboard and calculator.
- Normal range of hearing and vision is required.
Apply online using the form below. Only applications matching the job profile will be considered.