Head of Portfolio and Risk
⚡️ What We Do
Flower is Flexible Power. We are a next-gen energy company leveraging AI and machine learning to make renewable energy stable and always available – even when the sun isn’t shining and the wind isn’t blowing.
Through smart optimization and trading of energy assets like wind and solar farms, battery systems, and EV chargers, we make renewable energy reliable and predictable, leading the charge towards the energy system of tomorrow.
🌟Who We Are
Tech company at heart – purpose in our DNA. Flower consists of a diverse group of innovative individuals with a strong desire to improve the state of the world.
At Flower, we believe trust, collaboration and diversity are essential to not only create an inclusive work environment, but also drive career growth. By embracing varying perspectives, we allow creativity and progress to flourish.
To accelerate towards our goal of becoming the pioneering force powering the energy system of tomorrow, we are now looking for a passionate and skilled Head of Portfolio and Risk.
👩💻 About The Role:
The Head of Portfolio and Risk is responsible for leading Flower’s portfolio direction, ensuring that commercial decisions, portfolio positioning, and customer offerings are aligned with the company’s risk appetite, long-term strategy, and financial objectives.
What You’ll Do:
- Oversee the management and optimization of Flower’s portfolio, ensuring maximum value creation across PPAs, flexibility markets, hedging strategies, synthetic products, and other products
- Monitor portfolio performance and exposures, driving proactive adjustments in response to market conditions
- Ensure that portfolio strategies align with commercial goals, customer value delivery, and the energy transition
- Define and implement the strategic direction of portfolio and risk management in alignment with Flower’s overall business objectives
- Partner with origination, trading, operations, legal, and finance teams to enable innovative deal structuring and effective risk transfer
- Lead, mentor, and develop the Portfolio team, fostering a culture of accountability, collaboration, and continuous improvement
- Ensure compliance with internal limits, governance standards, and external regulatory requirements
- Lead the business in structuring transactions that balance innovation with risk discipline
Who You Are:
- Master’s degree in Economics, Finance, Engineering, or Business.
- 15+ years of experience in portfolio management, trading house, or risk management in the energy sector, with at least 5 years in a leadership position
- Proven ability to manage and optimize complex energy portfolios across multiple asset classes and products (PPAs, flexibility, hedging, derivatives)
- Strong expertise in risk frameworks, governance, and regulatory requirements in energy and financial markets
- Excellent leadership skills with a track record of building and developing high-performing teams
- Strategic thinker with strong analytical skills and the ability to translate insights into actionable business decisions
- Exceptional stakeholder management and influencing skills, with credibility at executive and board levels
- Fluent in English (Swedish is a strong advantage)
📍 Location
Our beautiful office is located in the heart of Södermalm just a short walk from Slussen subway station. We encourage in-office collaboration but support a hybrid work model.
✉️ Apply
Our corporate language is English, as we have over 30 nationalities in the office. We therefore appreciate it if you could submit your CV in English.
Throughout the recruitment process you will meet with the People & Talent Partner, CCO, COO and one of our Originators as well as our CEO.
We look forward to hearing from you!
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We kindly but firmly decline any engagement in recruitment assistance for our hiring processes. This includes partnership offers or the sale of recruitment tools.
- Locations
- Stockholm
