Motiva is seeking an experienced and principled Manager, Risk Management to lead the independent risk control function within the Middle Office. This role ensures the integrity of Motiva’s commercial supply portfolios through strong governance, robust exposure analytics, and proactive partnership with commercial stakeholders. The Manager provides decision‑ready transparency on inventory and market price exposures—including flat‑price risk and calendar/product spreads—while ensuring compliance with risk limits, policies, and standards. The role also supports corporate hedging programs designed to optimize crack‑margin performance and contributes to governance activities for the Motiva Risk Committee and the Audit & Risk Committee. This position reports to the Director, Risk Management, Compliance & Hedging and leads a team of 3–4 commodity and market risk professionals across four core pillars: Supply & Trading Controls Market Risk Analysis Management Reporting Strategic Business Partnership This is an on‑site position with hybrid flexibility, located at Motiva’s downtown Houston corporate headquarters. and operates on a 9/80 work schedule, providing alternating Fridays off to support work–life balance.
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Job Type
Full-time
Career Level
Mid Level