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Uniper SE

SVP Credit & Liquidity Risk (f/m/d)

Uniper SE

📍 DüsseldorfStadtwerkeVollzeit🏢 Sehr große Unternehmen (>1.000 MA)

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Details

Unternehmen
Uniper SE
Standort
Düsseldorf
Bereich
Stadtwerke
Vertragsart
Vollzeit
Unternehmensgröße
Sehr große Unternehmen (>1.000 MA)
Aktualisiert
23. Mai 2026

Geschätztes Gehalt (TVöD)

3.566 – 5.484 €

Entgeltgruppe E9b-E11 · brutto/Monat

Schätzung basierend auf TVöD-VKA Entgelttabelle. Das tatsächliche Gehalt hängt von Eingruppierung und Erfahrungsstufe ab.

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Stellenbeschreibung

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Firma: Uniper

UNTERNEHMENS-ID: 10346153

Stellenausschreibungs-URL:

Karrierestufe

Geschäftsleitung

Beschäftigungsverhältnis

Vollzeit

Tätigkeitsbereich

Management

Branchen

Versorgungsdienstleistungen

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Our Credit Risk Team is looking for You!

Your responsibilities

The SVP Credit & Liquidity Risk is responsible for developing and defining the credit risk strategy that supports risk quantification and credit decisions for all commercial and risk-taking activities. In addition the SVP Credit & Liquidity risk is responsible for managing the clearing risk from a risk point of view. Theres a strong commercial focus and the responsibility to leverage credit risk best practice providing credit risk recommendations and analytics to a wide range of business stakeholders. The role is based on strong academic proficiencies, paired with a clear commercial focus and the ability to apply latest risk management standards.

Lead an expert team of counterparty credit risk and margining risk management professionals

Secure global market access for power, gas, coal, LNG, oil and carbon trading over exchanges, clearing houses and counterparts in order to support the profitability of Uniper Generation Fleet and Global Gas business

Enable Treasury market access in the FX, interest rates and money markets to optimize and protect Uniper financials

Develop and ensure the implementation of the risk strategy by coordinating Front office, Legal, Treasury, Margining and Risk management teams to manage potential material counterparty defaults impacting Uniper going concern

Identify, measure and offer recommendations for mitigating material credit defaults, collateral support and margin calls impacting Uniper as a going concern

Responsible for valuation and structuring of complex legal credit risk mitigation concepts / structures aimed to protect key financial ratios and Uniper rating

Provide commercial support for Group wide projects

Shape future direction of the team and drive operational and strategic decisions

Represent the department on various supporting internal and external committees

Strengthen the Uniper brand through management of relationships to third parties and key counterparties

Represent Uniper in relevant associations

Your profile

University degree in natural sciences / engineering / finance

Ideally at least 10 years relevant risk management experience and proven track record in leadership role within the Energy Trading / Banking industry

Proven track record of valuation and structuring of complex legal credit risk mitigation concepts

Excellent communication skills, commercial awareness and the capability to develop high performance teams

Experience in negotiating adequate clauses in a third-party contracts, e.g. termination rights and financial covenants based on conducted risk analysis

Capability to steer complex projects with various stakeholders. Liaise with commercial desks in Front Office, Origination teams and Unipers IT department

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