Trader/Risk Management Analyst

Company and role description

Clean Energy Transition is an alternative asset manager with over $2bn of AUM. The firm is focussed on investing in public equities and commodities in order to facilitate and accelerate the transition to a clean energy future. The firm is seeking to hire a highly motivated individual to assist with trading and risk management/analysis. The role offers an exceptional opportunity for someone considering a financial markets career in a meritocratic, multicultural and team focused environment. The role consists of supporting the head of trading in trade execution alongside the quantitative analysis of the funds for the purposes of risk management and broader problem solving.


Only candidates with the below qualifications will be considered.


  • MSc or PhD in engineering, finance, mathematics or equivalent;

  • Candidates must have exceptional mathematical, quantitative and IT skills particularly Microsoft Excel;

  • It is essential that candidates can demonstrate an interest in financial markets, particularly in public equities;

  • Very strong communication skills, curiosity, a team attitude, a genuine interest in sustainability and a willingness to share and exchange ideas are essential.

Please apply to by October 15th 2022. This offer is open to students who are in their final year of study or have recently graduated.

When applying please attach a CV/resume in English and transcripts of records or other documents describing subjects and grades obtained to this point in your studies.