Establish standardized risk reporting and monitor compliance with the risk mandate structure (credit, market and operational risk), Define and monitor limits and the algorithmic trading activities, Support employees in the calculation and monitor key risk figures for our trading activities (e.g. mark-to-market, commodity risks, value at risk), Support other teams with quantitative analysis required for hedging strategies and investment decisions, Perform stress tests and scenario analyses to assess extreme scenarios and their impact on our portfolio, Review valuation methods as well as book and limit structures to derive suggestions for improvement and ensure transparency, Support the validation process for complex business cases in various IT systems, Support further development of a process-oriented internal control system, Elaborate a quantitative and qualitative description of desk performance and the market risks for the management, Establish a close relationship with the front office to ensure a mutual and comprehensive understanding of profit, loss and risk measures