We are Uniper
At Uniper, we are pro-actively transforming the world of energy whilst at the same time ensuring security of energy supply. As an internationally operating company, we work in very diverse teams with the greatest possible working time flexibility for our employees. Our corporate culture is characterized by equal opportunities, mutual appreciation, and respect. With us, you will be able to develop new business models, work on technological solutions for a modern, sustainable, and future-oriented energy supply as well as pro-actively help to shape changes. Interested? Then we will look forward to meeting you!
Your responsibilities
- During the 18-24 months trainee program, you will develop a deep understanding of Uniper’s business, its value drivers, and the business environment
- You will learn from, network and collaborate with experts from different fields across Uniper, contribute your ideas and work on your own projects
- You will contribute to our active trainee community, receive many training courses and development opportunities, and network with the trainee community
- You will start in Risk Management for the first six months of your trainee program and then rotate flexibly upon your individual career development path and interests across the organization – you design your individual placement plan and receive support from your own mentor
- In your predefined home unit Risk Management, you will support the analysis of commodity market risks across Uniper’s Green Power and Asset portfolios and contribute to the assessment of exposures, market, diversification and concentration risks
- You will assist with daily risk management activities and gain hands-on insight into markets, portfolios and collaboration with front office teams
- You will work with colleagues from Market Risk, Credit Risk, Liquidity Risk and Commercial Teams to understand the risk implications of strategies and transactions from a holistic perspective and support the preparation and communication of risk-related analyses to internal stakeholders
- You will contribute to explanation, reporting of risk, data analysis and process improvements while building a strong understanding of front-to-end processes and the commercial setup of the business
Your profile
- Successfully completed studies with a focus on Risk Management, Mathematics or a related quantitative field
- First practical experience gained through internships and/or working student activities, with exposure to the financial and energy market, in banks, investment funds, energy trading firms, including intercultural experiences
- Motivation to learn and develop in an international environment, taking the initiative and proactivity while working in multidisciplinary teams
- Strong communication skills and the ambition and skills to network among different stakeholders
- Analytical skills and capability to explain market dynamics to commercial and risk management stakeholders
- First experience with data analysis, portfolio modelling, valuation and data visualisation using Python/Excel; additional data analytics and processing tool are an advantage
- English language skills are required, German or other additional languages are a plus