Commercial Assets and Portfolio Manager
BP
- Madrid
- Permanente
- Tiempo completo
- Support investment decisions by providing recommendation of asset’s monetization / route to market strategy in line with bp´s risk appetite and portfolio targets.
- Support project and trading teams in evaluating different offtake products for new and existing projects, detailed PPA pricing, HPAs configurations.
- Developing ad hoc approaches for valuation of custom contracts, and embedded risks and optionality.
- Help to further develop Commercial portfolio strategy (e.g. portfolio steering, revenue maximization and risk reduction, what tech to buy and sell).
- Support other internal functions with commercial expertise and work closely with the Strategy and Regulation teams to reflect current and future market and regulatory scenarios.
- Ad hoc market analysis reports.
- PhD / Master´s degree in an analytical / numerical subject, preferably Engineering, Economics, Statistics or Mathematics and appropriate professional experience with at least three years of working experience.
- Substantial experience in Energy Economics and electricity markets, specifically working with market studies of revenues price forecasts, imbalance modelling, ancillary services, cannibalization factor development and revenues from state support mechanisms.
- Very strong Excel skills, e.g. should be able to use functionalities at an expert level, including working with macros. Desirable: Experience in Python or database management (i.e., Access).
- The ability to communicate clearly and in a customer focused way. Specifically, the ability to structure and present complex information adequately to (senior) management (both written and verbal).
- Fluent English. Very good knowledge of other languages where bp operates is of advantage.