Energy Trading and Risk Management
Streamline your energy trading lifecycle with our end-to-end Energy Trading and Risk Management (ETRM) workflow. Optimize market positions, automate complex trade lifecycles, and mitigate volatility with real-time risk analytics, seamless settlement processing, and robust regulatory compliance tools designed for the modern energy landscape.
Esta plantilla se instaló 2 veces.
Inicio
Inicio del flujo de trabajo/proceso.
1. Fetch Market Prices
Retrieve current market spot prices and forward curves from the Market Data model.
2. Register New Trade
Create a new trade entry in the Trade Ledger model with details like volume, price, and counterparty.
3. Calculate PnL (Profit and Loss)
Calculate the unrealized profit or loss by comparing trade price against current market prices.
4. Update Trade Status
Update the status of a trade entry from 'Pending' to 'Confirmed' or 'Settled'.
5. Calculate Total Exposure
Aggregate all active trade volumes to determine the total net position for a specific commodity.
6. Calculate Value at Risk (VaR)
Execute a complex formula using historical volatility and position size to estimate potential loss.
7. Assign Risk Review
Create a task for the Risk Manager to review trades that exceed predefined VaR limits.
8. Fetch Counterparty Credit Limit
Retrieve the remaining credit capacity for a specific counterparty from the Counterparty model.
9. Check Credit Utilization
Compare current trade value against the retrieved counterparty credit limit.
10. Notify Trade Confirmation
Send an automated email to the counterparty with the trade details for confirmation.
11. Back-Office Settlement Task
Create a task for the settlement team to initiate the movement of funds based on the trade date.
12. Daily Volume Summary
Sum the total energy volume (MWh/Bbl) traded during the current business day.
13. Generate EOD Risk Report
Create a comprehensive End-of-Day report summarizing PnL, Exposure, and Limit Breaches.
14. Cancel Erroneous Trade
Delete a trade entry from the ledger in the event of a manual entry error (requires audit trail).
15. Alert Limit Breach
Send an urgent SMS to the Head of Trading when a real-time risk threshold is breached.
Fin
Fin del flujo de trabajo/proceso.
Inicio del flujo de trabajo/proceso.
Retrieve current market spot prices and forward curves from the Market Data model.
Create a new trade entry in the Trade Ledger model with details like volume, price, and counterparty.
Calculate the unrealized profit or loss by comparing trade price against current market prices.
Update the status of a trade entry from 'Pending' to 'Confirmed' or 'Settled'.
Aggregate all active trade volumes to determine the total net position for a specific commodity.
Execute a complex formula using historical volatility and position size to estimate potential loss.
Create a task for the Risk Manager to review trades that exceed predefined VaR limits.
Retrieve the remaining credit capacity for a specific counterparty from the Counterparty model.
Compare current trade value against the retrieved counterparty credit limit.
Send an automated email to the counterparty with the trade details for confirmation.
Create a task for the settlement team to initiate the movement of funds based on the trade date.
Sum the total energy volume (MWh/Bbl) traded during the current business day.
Create a comprehensive End-of-Day report summarizing PnL, Exposure, and Limit Breaches.
Delete a trade entry from the ledger in the event of a manual entry error (requires audit trail).
Send an urgent SMS to the Head of Trading when a real-time risk threshold is breached.
Fin del flujo de trabajo/proceso.
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Demostración de la Solución de Gestión de Energía
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