Job Opportunities API

The Public Ledger of Openings

← Back to the ledger

Risk Controller – Trading Focus (m/f/d)

tmh
Companytmh
CategoryFinance
LocationMünchen
RemoteOn-site (inferred)
EmploymentNot stated
LevelNot stated
SalaryNot stated by the employer
Posted17 Jul 2026
Last verified10 Aug 2026
SourceEmployer ATS (personio)
Applications are handled by the employer, not by us.Apply on the employer's site →
Description
Help shape our vision of an emission-free energy and mobility future  High level of responsibility and rapid development in a growing and innovative company Open, diverse & international  team Flexible working hours and  additional  vacation days Mobile working from home and 20 days in other European countries  Choice between the latest Apple and  Dell  IT equipment Subsidy  for  Deutschlandticket  job Wellpass  membership Lease of your preferred car and bike via FINN or  JobRad Modern office with good public transport connections and much more! As a Risk Controller, you will report directly to the CFO. This position offers close exposure to strategic decision - making while working in partnership with senior management and key stakeholders across the business Monitoring and analysis of operational, market, credit, and liquidity risks arising from trading activities (Front Office) Evaluation of portfolios and trading strategies regarding risk-return ratios (e.g., VaR, P&L attribution, sensitivity analyses) Development and maintenance of risk models, limit systems, and stress tests for trading activities Preparation and ongoing development of daily risk reporting for the trading desk and management Monitoring of position limits, counterparty exposures, and trading strategies Close collaboration with Front Office, Middle Office, Treasury, IT, and Compliance Contribution to the further development of risk policy in the context of market changes and regulations (e.g., EMIR, MiFID II) Completed degree in Business, Mathematics, Physics, Finance, or a related field Professional experience in risk controlling, ideally within a trading environment (energy, commodities, derivatives, FX, fixed income, etc.) Strong knowledge of risk methodologies and metrics (e.g., Value-at-Risk, stress testing, backtesting) Experience with relevant tools and systems (e.g., ETRM/CTRM systems, Bloomberg, Matlab, Python, SQL, Power BI) Analytical mindset, strong IT aptitude, and a proactive approach Fluent written and spoken German and English Diversity enriches our team and makes us stronger. Regardless of origin, gender, age, sexual orientation, religion, or any disability – everyone is welcome here! We look forward to receiving your application and achieving great things together. Vanessa [email protected]