|Risk Control Analyst||Risk Control Analyst||GP0|#412047e6-ce06-48e1-8250-4cd1ba54de99
L0|#0882efb1e-e771-40cb-9bb2-27d4c022da94|Exelon Building at Harbor Point
GTSet|#7712b39a-721e-4406-b3c9-bfbaaf3b9a98||210048||https://exeloncorp.taleo.net/careersection/exelon_external/jobdetail.ftl?job=210048, https://exeloncorp.taleo.net/careersection/exelon_external/jobdetail.ftl?job=210048||<p style="MARGIN-BOTTOM:0px;MARGIN-TOP:0px;">At Exelon, we've got a place for you! Join the nation's leading competitive energy provider, with one of the largest electricity generation portfolios and retail customer bases in the country.
You will be part of a family of companies that strives for the highest standards of power generation, competitive energy sales, and energy delivery.
Our team of outstanding professionals is focused on performance, thought leadership, innovation, and the power of ideas that come from a diverse and inclusive workforce.
Exelon will provide you the tools and resources you need to design, build and enhance a successful career.
We are also dedicated to motivating the success of our employees through competitive base salary, incentives, and health and retirement benefits.
Join Exelon and share your passion at a forward-thinking Fortune 150 company.
Establish yourself in a place where you can truly shine and create a brighter, more sustainable tomorrow.
Energize your career at Exelon!</p><br><p style="MARGIN-BOTTOM:0px;MARGIN-TOP:0px;"> </p><br><p style="MARGIN-BOTTOM:0px;MARGIN-TOP:0px;">PRIMARY PURPOSE OF POSITION<br>This position is responsible for administering the Risk Control processes for the wholesale and retail portfolios to ensure the adherence to established Risk Management policies and procedures.
This role is vital to ensuring that all risks are properly identified, characterized, valued, and reported on a consistent and timely basis.
The Risk Control Analyst is responsible for all Exchange Management and confirmation processes.
PRIMARY DUTIES AND ACCOUNTABILITIES <br> <br>1.
Responsible for reconciling Exchange trade data from our FCM�s to our internal trading systems to ensure accurate positions and settlements.
Prepare monthly reconciliations for realized and unrealized positions to assist Financial Accounting with our monthly financial close.
Responsible for daily reconciliation of cash receipts and withdraws to ensure accurate accounts receivables and accounts payables.
Team effort to confirm non-exchange trades with counterparties to ensure accurate positions and settlements.
Responsible for monitoring exchange positions against exchange position limits to ensure compliance with CFTC regulations.
Responsible for communicating with the business units and support data gathering effort of all risk information.
Participate in the development and implementation of risk policies and procedures.