Jobs · Business Development · Florida

Director Market Risk

NextEra Energy Resources · Juno Beach, FL · 1 wk ago
Business DevelopmentFull-time

NextEra Energy Marketing is one of the nation’s leading electricity and natural gas marketers, and a key player in the energy markets in the United States and Canada. As part of NextEra Energy Resources, we specialize in innovative energy strategies that maximize market value for our customers and stakeholders. Our team is skilled in market analysis, trading, risk management, and delivering tailored customer solutions across North America.

About the Role

We are seeking a highly experienced, hands-on Market Risk Management leader to lead a team responsible for the comprehensive oversight of market and commodity risk across our trading activities. This is a senior leadership opportunity for a seasoned risk professional who combines deep technical expertise with strong commercial judgment and a passion for building best-in-class risk capabilities.

Our Market Risk Management team integrates several disciplines—market and commodity risk management, valuation and controls, and independent price verification (IPV)—to provide a more complete and informed view of trading exposures, valuation risk, and overall portfolio risk.

The successful candidate will bring significant experience in energy and commodity markets, with a strong understanding of trading products, valuation methodologies, market risk measurement, and control frameworks. This individual will be a hands-on leader who can engage deeply with complex positions and valuation issues while developing the people, processes, analytics, and governance required for a first-class risk management function. The ability to communicate complex risk matters clearly and credibly to trading, finance, and senior leadership will be critical.

This role reports to the Executive Director, Head of Market Risk and Analytics and is based at NextEra Energy’s headquarters in Juno Beach, Florida.

Responsibilities

  • Partner closely with traders, originators, and other business teams to develop a deep understanding of trading strategies, positions, and associated risks, and translate that understanding into effective risk management and control processes.
  • Develop, enhance, and implement market risk methodologies and analytics, including Value at Risk (VaR), stress testing, scenario analysis, and other portfolio risk measures.
  • Monitor, analyze, and communicate market and commodity risk exposures, including assessing portfolio risk against established limits and escalating material risks or limit exceptions as appropriate.
  • Oversee the production and distribution of daily P&L and attribution, position, exposure, and risk reporting, ensuring accuracy, timeliness, and appropriate explanation of key drivers.
  • Provide robust challenge and independent oversight of trading results, valuations, exposures, and material changes in portfolio risk.
  • Play a significant role in month-end, quarter-end, and year-end close processes, partnering with Finance, Accounting, and other stakeholders to ensure accurate and well-controlled reporting.
  • Support the ongoing development and enhancement of valuation controls and independent price verification processes, particularly for complex or less-liquid energy products.
  • Partner with Technology and business stakeholders on trading and risk management system enhancements, implementations, and automation initiatives, with a focus on improving scalability, data quality, and control effectiveness.
  • Maintain compliance with SOX and other applicable control requirements, while proactively identifying opportunities to strengthen, simplify, and automate the control environment.
  • Lead, develop, and mentor a team of market risk professionals and analysts, establishing high standards for technical excellence, commercial understanding, accountability, and professional development.
  • Foster a strong risk-aware culture, promote constructive challenge, and model the highest standards of integrity and professional judgment.
  • Champion the company’s values of Excellence, Doing the Right Thing, and Respect in interactions across the organization.
  • Perform other job-related duties and responsibilities as assigned.

Requirements

  • Bachelor’s degree, preferably in Finance or Business Administration.
  • Minimum 10+ years of experience OR 9+ years of experience with trading experience.
  • Minimum 2-4+ years of leadership experience.
  • Significant experience in energy and commodity markets, with a strong understanding of trading products, valuation methodologies, market risk measurement, and control frameworks.
  • Proven ability to lead and develop a team, with a focus on technical excellence and professional growth.
  • Exceptional analytical capabilities and strategic vision to guide large-scale risk management initiatives.
  • Strong communication skills to convey complex risk matters clearly to both commercial stakeholders and senior leadership.

Benefits

NextEra Energy offers a wide range of benefits to support our employees and their eligible family members. Learn more.

Relocation assistance is provided, if applicable.

Similar jobs

Director Risk

SuncorHouston, TX· 3 wk ago
Salesapply on suncor.wd1.myworkdayjobs.com