Quantitative Analyst #R-017471#

Switzerland | Aug. 11, 2026

Report as Closed

Company: TRAFIGURA PTE LTD, Singapour,succursale de Genève

Country: Switzerland

Type: Onsite

Employment: Full-time

Description: locations Geneva, Switzerland
time type Full time
job requisition id R-0 17471

Main purpose
We are looking for a Quantitative Analyst to join our team. This is an exciting new opportunity to work on XVA and working capital models as well as contributing to a Quant Library in a dynamic and leading commodity house. As part of the job, you'll be developing and maintaining methodologies and quantitative tools, and liaising with stakeholders across the business (Traders, MO, Risk, Finance, Credit, IT). You will have strong interaction with traders and be part of the daily process of assessing the risk associated to every new transaction.

Key responsibilities
Developing and maintaining methodologies and quantitative tools
Liaising with stakeholders across the business (Traders, MO, Risk, Credit, IT) Assess the risk (CVA and FVA) associated to every new transaction

Required qualifications
3+ years working experience, preferably in an XVA quantitative business in commodity
Very strong analytical and mathematical skill
Comfortable with derivatives modelling concepts
Strong Python and/or C++ programming skills & experience
Experience in delivering production quality code, including use of source control, continuous integration, unit and regression testing

Preferred qualifications
Knowledge of working capital / cash at risk models within physical commodity space would be a plus
Master’s or higher numerate degree in Maths, Engineering, Physics, Science, Finance, or related field

Attributes for success
Ownership: Takes full responsibility for models, methodologies, and outputs, ensuring accuracy, robustness, and timely delivery in a high-impact environment
Attention to Detail: Demonstrates precision and rigor when developing, reviewing, and maintaining quantitative models and data
Communication: Clearly explains complex quantitative concepts to traders and non-technical stakeholders, supporting informed decision-making
Organizational Skills: Effectively manages multiple priorities, deadlines, and stakeholders while maintaining high standards of documentation and governance
Resilience: Performs well under pressure in a fast-paced trading environment, adapting quickly to changing priorities and market conditions
Analytical Thinking: Applies strong problem-solving skills to assess risk, interpret model outputs, and translate analysis into commercial insight

Department overview
The Market Liquidity Risk team plays a critical role in assessing and managing the liquidity, funding, and valuation risks arising from Trafigura’s global trading activities.
The team develops and maintains XVA, working capital, and liquidity models that support day-to-day trading decisions. Working closely with traders, middle office, risk, finance, credit, and IT, the team ensures robust risk assessment for every new transaction.
The team sits at the heart of the trading floor, combining quantitative rigour with commercial awareness. Through its analysis, the team directly supports profitability, capital efficiency, and disciplined risk-taking across the Group.

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