
Manager, Contracts and Risk Ops | Global Business Services | Order to Cash
- Philippines
- Permanent
- Full-time
- Is responsible for BHP's commodity contracts, price risk and financial performance reporting and associated controls, governance, routines and capability
- Understand markets across BHP's portfolio and effective stakeholder relationships to advise on portfolio impacts to risk and returns from changes in market conditions, production profiles, customer needs, and strategy
- Translates function wide strategy to operational milestones for teams
- Leverages BHP's risk management framework to support safe and reliable delivery and makes risk-informed decisions
- Provide leadership and performance management to contracts (drafting, creation and maintenance) and price risk teams
- Partners with Commercial (Marketing, Maritime and Risk, Governance Analytics RGA teams) to deliver enterprise impacts
- Lead teams through change and transition at scale, and pace
- Brings innovation and continuous improvement of contracts and commodity price risk management and financial performance methodologies, leveraging data, technology, external and internal insights and quantitative analysis skills.
- Provides thought leadership for Commercial, GBS and O2C wide matters.
- Leads through BHP Values of Do What's Right, Seek Better Ways and Make a Difference
- Strong leadership and influencing skills to engage with teams and with senior stakeholders
- Understand commercial and corporate strategies to appropriately design and implement tools to support quantification and communication of risk insights
- Ability to lead change and lead teams to high performance outcomes
- Strong commodity and/or financial risk management skills to analyse and articulate financial performance and financial risk across the Commercial portfolio
- Sound understanding of commodity trading business
- Comprehensive understanding of BHP Risk Management IT infrastructure and capability
- Detailed Product and Market Risk process knowledge
- Knowledge and application of decision analysis techniques and modelling relating to market risk control models