Energy & Commodity Trading and Risk Management
The volatility, complexity and pace of change in the wholesale energy and commodity markets present significant opportunities, but equally significant risks. In this environment, energy and commodity traders need to build sophisticated, functionally-rich capabilities to address price, credit, operational and regulatory risks.
At the same time, they need to remain flexible enough to respond to new opportunities and competitive pressures. This requires a combination of deep industry knowledge, robust business processes and integrated, scalable IT systems. It also requires an organisational structure that is geared to maximise the value of the company’s unique portfolio, skills and market position.
Baringa Partners is a highly experienced energy & commodity trading and risk management specialist. We bring together industry best practice, proven delivery methodologies and deep market and system knowledge to help companies meet their toughest challenges. We provide forward-looking, yet pragmatic, energy and commodity trading solutions that are tailored to best fit their precise requirements. Our clients include large pan-European energy companies, commodity houses and investment banks, as well as smaller market participants with distinctive competitive propositions.
Our services include:
- Definition of trading and risk management strategies
- Organisational design and performance framework definition
- New market entry ETRM/CTRM system integration and configuration
- Business process design and re-engineering
- Deep specialist skills in leading trading software implementations
- Trading and risk analytics and decision support tools
