Phillips 66→
Risk Analyst
Entry LevelOn-site
Location
Houston, TX, US, 77042
Salary
$94k–$114k/yr
Experience
Not specified
Posted
Today
Skills
market risk analysisfinancial productsmicrosoft exceletrm systemstrade lifecyclesettlement processes
Job Description
Summary: Phillips 66 is a company committed to fueling the future with integrity and teamwork. The Risk Analyst role involves monitoring market developments, analyzing risk parameters, and supporting market risk management for financial products while contributing to a culture of excellence and continuous improvement.
Responsibilities:
- Monitor and analyze market developments, track risk parameters, and support market risk management for various financial products
- Produce timely and accurate daily analyses of business unit positions, exposures, and P&L; monitor and explain drivers of P&L change, reconcile physical and financial positions to ensure reporting accuracy and compliance to internal and external policies
- Collaborate closely with Risk, Scheduling, Trading and FP&A teams to ensure data accuracy
- Collect and interpret data to identify potential risks, provide business explanations for financial results, and contribute to the preparation of insightful reports
- Support scenario modeling, maintain internal controls, and offer recommendations to managers, ensuring activities align with risk policies and regulatory requirements
- Partner with commercial business units to deliver ad hoc analysis, decision support, and drive continuous process improvements
- Resolve queries from internal teams, support system upgrades, and back up colleagues to ensure seamless coverage
- Apply keen attention to detail and organizational skills to effectively manage competing priorities in a fast-paced environment and drive results
- Develop your own capabilities through ongoing learning and contribute to a culture of integrity, accountability, and excellence, supporting the company’s commitment to safety, inclusion, and high performance
Required Qualifications:
- Legally authorized to work in the job posting country
- Bachelor's degree in Finance, Accounting, Economics, or a related field
- 1 or more years of relevant experience in market risk analysis, financial products, or a similar environment
- Intermediate or greater proficiency in Microsoft Office, with a strong emphasis on Microsoft Excel
Preferred Qualifications:
- Experience in a market risk or energy commodity trading environment, understanding of trade lifecycle and settlement processes
- Experience in ETRM systems (Right Angle, Openlink, and/or SAP)
- Ability to thrive in a fast-paced, open trade floor environment and manage multiple priorities
Required Skills: Market risk analysis, Financial products, Microsoft Excel, ETRM systems, Trade lifecycle, Settlement processes
Benefits: Annual Variable Cash Incentive Program (VCIP) bonus, 8% 401k company match, Cash Balance Account pension, Medical, Dental, and Vision benefits with an annual company contribution to a Health Savings Account for employees on HDHP, Total well-being programs and incentives, including Employee Assistance Plan, well-being reimbursement, and backup family care services
Benefits
Annual Variable Cash Incentive Program (VCIP) bonus
8% 401k company match
Cash Balance Account pension
Medical, Dental, and Vision benefits with an annual company contribution to a Health Savings Account for employees on HDHP
Total well-being programs and incentives, including Employee Assistance Plan, well-being reimbursement, and backup family care services