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As the Price Risk Manager, you will take ownership of the Group's price risk management strategy and hedging activities, managing both paper and physical exposures within an integrated one-book framework. You will be responsible for executing and optimising hedging strategies in line with Board mandates, while continuously evolving the Group's approach to price risk management. The role requires a commercially focused mindset with the ability to integrate financial derivatives and physical coal exposures into a unified risk management strategy that supports portfolio optimisation and value creation.
More of your responsibilities will include: