Senior Resource Specialist, Energy Risk Management

SuperbTechLos Angeles, CA
Hybrid

About The Position

We are seeking a Senior Resource Specialist with deep Energy Risk Management expertise to support a high-performing team in a fast-paced, analytical environment. This role is ideal for a seasoned energy risk professional who understands wholesale power markets, commodity pricing, quantitative modeling, and enterprise risk oversight. This is a highly visible opportunity where you will play a critical role in helping manage financial and operational risk across a complex energy portfolio, while influencing strategic decision-making through advanced analytics, risk reporting, and market intelligence.

Requirements

  • 10+ years of energy industry experience in Energy Risk Management
  • Strong knowledge of wholesale energy markets, including power, natural gas, and renewables
  • Experience with ETRM systems, trade lifecycle management, settlements, and pricing curves
  • Advanced experience with quantitative risk modeling, VaR, MtM, and stress testing
  • Experience supporting risk governance and trading compliance frameworks
  • Strong analytical, reporting, and executive presentation skills
  • Bachelor's degree in a related field required
  • Must be authorized to work in the U.S.

Nice To Haves

  • Master's or Ph.D. strongly preferred in a quantitative discipline such as: Mathematics, Quantitative Finance, Economics, Statistics, Data Science
  • Highly analytical and detail-oriented
  • Comfortable operating in a fast-moving, high-pressure environment
  • A collaborative team player with executive presence
  • Experienced in energy commodities, pricing models, and risk frameworks
  • Able to bridge technical analysis with strategic business decision-making
  • Southern California local candidates preferred

Responsibilities

  • Lead development and implementation of Energy Trading & Risk Management (ETRM) workflows and systems
  • Build and maintain risk management policies, controls, and exposure limits
  • Conduct Value at Risk (VaR), Mark-to-Market (MtM), Monte Carlo simulations, and stress testing
  • Monitor and analyze portfolio exposures across power, natural gas, and renewable energy markets
  • Validate forward curves and pricing methodologies
  • Develop executive-level risk dashboards and reporting tools
  • Support middle office governance, trading compliance, settlements, reconciliation, and risk oversight
  • Analyze basis risk, shape risk, pricing volatility, and hedging effectiveness
  • Lead or participate in Risk Oversight Committee meetings
  • Identify opportunities to improve efficiency through automation, analytics, and emerging technologies
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