Castleton Commodities International
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The European Renewable Data Analyst is responsible for managing and developing reporting processes for weather, power, and renewable models in Europe. The role involves statistical analysis of complex datasets, improving power pricing models, and collaborating with trading teams on renewable analytical research.
The European Power Scheduler at Castleton Commodities International will manage energy scheduling for power and natural gas, coordinate trading functions, assist in market setup and reconciliation, and produce operational analysis reports. This role involves collaboration with various trading desks and may include occasional weekend work.
As a Front Office Software Developer, you will enhance trading processes, develop analytical tools, and support commercial activities using technologies like Python, AWS, and Snowflake, while collaborating with IT and Data Science teams.
The SAP Finance Business Analyst will design, implement, and optimize SAP Finance solutions, collaborating with stakeholders to ensure effective delivery and support. Responsibilities include analyzing business needs, configuring SAP modules, integrating solutions, optimizing financial processes, and conducting training. A deep knowledge of SAP S4HANA Finance and related financial modules is essential.
The Senior P&L Analyst will be responsible for accurate P&L reporting, monitoring trading positions, and performing daily controls. This role requires collaboration with traders and analysis of discrepancies. The analyst will validate marks against third-party sources and contribute to ad hoc reporting and analysis for the commercial team.
The Technical Project Manager is responsible for overseeing multiple projects in the Global Data Science & Technology sector, ensuring effective management of priorities, resources, and project delivery. This role requires strong communication skills and the ability to standardize processes, assess project progress, and manage risks while collaborating with technical and non-technical stakeholders.
The Gasoline Blender at Castleton Commodities International will manage logistics for gasoline blending, ensuring compliance with specifications and regulations. They will oversee blending operations, monitor inventory, and coordinate movements with external parties while collaborating with traders and various departments.
The Investor Relations Associate will collaborate with senior stakeholders and internal teams to prepare financial materials, create presentations for investor meetings, conduct market research, and draft communication to investors. The role requires significant experience in financial analysis and a strong capability to prioritize tasks in a dynamic environment.
The Data Engineer will implement data architecture and management projects, transition existing data sets to new technology, manage the data ingestion process, work on data mapping and quality analysis, and partner with teams to improve data flow and architecture.
The Treasury Analyst role involves daily cash flow reporting and forecasting, developing custom reporting solutions, maintaining financial data sets related to liquidity, and preparing borrowing base reports. The analyst will work closely with corporate accounting and support bank account management while ensuring accurate analysis and reporting for treasury-related activities.
The Refined Products Scheduler coordinates the movement of physical oil products, ensuring timely deliveries and adherence to contracts. They collaborate with both internal teams and external stakeholders to resolve logistical issues and analyze market trends. This role requires compliance with regulations and the ability to make autonomous decisions.
The Quantitative Power Analyst at Castleton Commodities International conducts analysis of US energy markets, focusing on Power, Natural Gas, and Renewables. They create and maintain supply and demand, as well as pricing models, to support trading strategies and communicate effectively with trading teams. The role offers significant impact on energy trading operations through collaboration and research.
Develop and maintain an investment, trading, and analytics platform for Castleton Commodities International's Front Office IT team. Collaborate with commercial teams and the Data Science team to enhance trading processes with modern software solutions including analytical and visualization tools.
Develop and maintain a firmwide investment, trading, and analytics platform while interfacing with trading teams to enhance trading processes. The role includes writing APIs in Python, supporting commercial activities, and developing cloud-native solutions for analytics and visualization.
The LNG Scheduler is responsible for managing logistics for LNG cargo operations, supporting the Front Office on operational matters, conducting cargo operations, and ensuring compliance with regulations while interacting with various stakeholders in the LNG industry.
The Associate, ETRM Developer will enhance enterprise systems integration, support data flows, maintain applications, and troubleshoot issues. They will work closely with teams to meet integration requirements while ensuring data accuracy and optimizing performance.
The P&L Analyst role involves reconciling complex trading strategies across commodities, ensuring timely and accurate P&L reporting, analyzing market price indicators, and collaborating with trading personnel. The candidate will manage special projects, validate trader marks against third-party sources, and provide guidance on financial transaction modeling.
The European Power Scheduler will manage daily energy scheduling, position reconciliation, and coordination with Power TSOs, assisting in market setups and operational analyses. This role includes leading change management for market transitions and ensuring the company's compliance in European power markets.
The Refined Products Scheduler coordinates and schedules oil shipments, manages logistics, collaborates with internal and external teams, analyzes market dynamics, ensures compliance with regulations, and provides after-hours support as needed for effective operations in crude oil and refined products.
The Treasury Analyst will manage cash forecasting and daily liquidity across multiple corporate entities, monitor and manage cash positions, and conduct borrowing activities. The role involves preparing forecasts, analyzing FX positions, collaborating with corporate accounting, and supporting bank account management.