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Commodity Risk Manager Jobs in Joliet, IL (NOW HIRING)

Trader

Chicago, IL · On-site

$120 - $160/hr

... risk management methodologies to provide liquidity to worldwide financial markets and hedging opportunities to commodity producers and users. Now, DV group affiliates include two broker dealers, a ...

Senior Director, Cocoa

Chicago, IL · On-site

$260K - $295K/yr

Management and Communication (20%) * Ensure effective commodity procurement functions and processes ... Risk Management & Profitability (30%) * Evaluate market fluctuations based upon data and historical ...

Portfolio Manager

Chicago, IL · On-site

$200K/yr

... risk management methodologies to provide liquidity to worldwide financial markets and hedging opportunities to commodity producers and users. Now, DV group affiliates include two broker dealers, a ...

Senior Director, Cocoa

Chicago, IL · On-site

$260 - $295/hr

Management and Communication (20%) * Ensure effective commodity procurement functions and processes ... Risk Management & Profitability (30%) * Evaluate market fluctuations based upon data and historical ...

You will leverage data, commodity trends, and supplier insights to make fast, informed purchasing ... Risk Management * Ensure all perishables meet company quality standards, food safety regulations ...

... risk management methodologies to provide liquidity to worldwide financial markets and hedging opportunities to commodity producers and users. Now, DV group affiliates include two broker dealers, a ...

Portfolio Manager

Chicago, IL · On-site

$200K/yr

... risk management methodologies to provide liquidity to worldwide financial markets and hedging opportunities to commodity producers and users. Now, DV group affiliates include two broker dealers, a ...

Purchasing Director

Bolingbrook, IL · On-site

$120 - $140K/hr

Develop and maintain AMS commodity purchasing and material-management processes using Spectrum ERP, ... risk, vendor capacity, and procurement strategy input. What You Bring * 5 to 10+ years of ...

Showing results 41-60

Commodity Risk Manager information

See Joliet, IL salary details

$35.3K

$94.9K

$154.9K

How much do commodity risk manager jobs pay per year?

As of Aug 22, 2026, the average yearly pay for commodity risk manager in Joliet, IL is $94,888.00, according to ZipRecruiter salary data. Most workers in this role earn between $77,400.00 and $110,300.00 per year, depending on experience, location, and employer.

What does a commodity risk manager do?

A Commodity Risk Manager is responsible for identifying, assessing, and managing risks associated with the trading, purchasing, or production of commodities such as oil, gas, metals, or agricultural products. They analyze market trends, develop risk mitigation strategies, and use financial instruments like hedging to protect the company from price volatility. Their role often involves collaborating with traders, analysts, and senior management to ensure that the organization’s commodity exposure aligns with its overall risk appetite and business objectives.

What are the key skills and qualifications needed to thrive as a commodity risk manager?

To thrive as a Commodity Risk Manager, you need a solid understanding of financial markets, risk assessment, and commodity trading, typically backed by a degree in finance, economics, or a related field. Familiarity with risk management software, trading platforms, and certifications such as FRM (Financial Risk Manager) are highly valuable. Strong analytical thinking, attention to detail, and effective communication skills help you make informed decisions and clearly convey risk assessments. These competencies are crucial for managing exposure, optimizing trading strategies, and safeguarding organizational profitability in volatile commodity markets.

How does a commodity risk manager typically collaborate with other departments within an organization?

A Commodity Risk Manager works closely with departments such as procurement, finance, supply chain, and trading to identify and mitigate risks associated with commodity price fluctuations. They often coordinate with procurement teams to develop hedging strategies and ensure contracts align with risk tolerance, as well as with finance to analyze market trends and forecast potential exposures. Regular communication and cross-functional meetings are common to align strategies and maintain a holistic view of the organization's commodity risk profile.

What is the difference between Commodity Risk Manager vs Commodity Trader?

AspectCommodity Risk ManagerCommodity Trader
CredentialsRisk management certifications, finance or economics degreesTrading licenses, finance or economics degrees
Work EnvironmentCorporate risk departments, energy, agriculture, or metals companiesTrading floors, financial institutions, commodity firms
Industry UsageFocus on risk mitigation and hedging strategiesFocus on buying and selling commodities for profit

While both roles involve commodities, the Commodity Risk Manager primarily focuses on managing and mitigating risks associated with commodity price fluctuations, whereas the Commodity Trader actively engages in buying and selling commodities to generate profit. The roles often overlap in industry and credentials but differ in their core objectives and daily activities.

What cities near Joliet, IL are hiring for Commodity Risk Manager jobs?

Cities near Joliet, IL with the most Commodity Risk Manager job openings:

$120 - $160/hr

Other

Posted 4 days ago


Job description

Founded 20 years ago and headquartered in Chicago, the DV Group of financial services firms has grown to more than 600 people operating throughout North America, Europe and Asia. Since spinning out of a large brokerage firm in 2016, DV Trading has rapidly scaled as an independent proprietary trading firm utilizing its own capital, trading strategies, and risk management methodologies to provide liquidity to worldwide financial markets and hedging opportunities to commodity producers and users. Now, DV group affiliates include two broker dealers, a cryptocurrency market making firm, and a bourgeoning investment adviser.

Overview

DV Trading is looking for a proven Options Trader who wants the freedom to run capital, scale ideas quickly, and trade on high-performance trading infrastructure tailored to our business. This is an opportunity for a trader with a demonstrated ability to generate alpha through options-based strategies across correlated products, volatility, and market structure opportunities. The ideal candidate already knows how to manage risk, adapt to changing market conditions, and execute with discipline, and is looking for the infrastructure, capital, and autonomy to grow a strategy without the constraints typical of larger institutions.

Job Responsibilities
  • Run and scale your own options-focused trading strategies using DV Trading's capital
  • Identify, execute, and grow opportunities across options, volatility, equities, and related futures markets
  • Develop, refine, and optimize models, signals, and execution strategies to improve performance and scalability
  • Own risk management, positioning, and P&L with a high degree of autonomy and accountability
  • Analyze market structure, volatility dynamics, and relative value opportunities to generate alpha
  • Leverage DV Trading's trading technology and infrastructure to expand your trading business
  • Continuously evaluate and evolve strategies to add new revenue streams and improve consistency across market conditions
Requirements
  • 2+ years of experience trading options, equities, futures, or related products in a professional trading environment
  • Verifiable track record of consistent profitability and risk-adjusted performance
  • Strong understanding of options trading, volatility, market structure, and relative value dynamics
  • Demonstrated expertise in strategy development, execution, and disciplined risk management
  • Quantitative skillset with expertise in options pricing and quantitative tools
  • Ability to clearly articulate your trading edge and decision-making process
  • Experience scaling strategies and managing larger allocations of capital is strongly preferred
  • Self-directed trader who operates effectively without heavy oversight or structure
  • High level of ownership, discipline, integrity, and accountability
  • Clean regulatory and compliance record
  • Background at a proprietary trading firm, bank, or hedge fund is preferred; experience in credit or rates volatility trading is a plus

Annual compensation range $120–160K base + performance-based bonus

DV is proud to be an equal opportunity employer and committed to creating an inclusive environment for all employees.

The range below reflects the expected base salary for this position. It represents a good‑faith estimate of the base pay we anticipate offering, with actual compensation determined by your experience, education, skills, and performance throughout the interview process. This role is also eligible for a discretionary bonus (at DV Trading's discretion) and DV Trading's benefits package, including the benefits listed above.

Base Salary Range

$120,000 — $160,000 USD

DV Trading is a global liquidity provider founded in Toronto in 2006 by Dino Verbrugge. It trades exchange and over-the-counter commodity futures, fixed income, equities, options, foreign exchange and cryptocurrency…

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