Mathieu Larroque Laborde

Crude oil exports - planning/optimisation at Eni Trading & Shipping
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Contact Information
us****@****om
(386) 825-5501
Location
UK
Languages
  • French Native or bilingual proficiency
  • Italian Native or bilingual proficiency
  • English Full professional proficiency
  • Spanish Full professional proficiency

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Experience

    • Belgium
    • Utilities
    • Crude oil exports - planning/optimisation
      • Aug 2020 - Present

      Coordinate trading and upstream branches to plan and optimise equity crude oil exports Coordinate trading and upstream branches to plan and optimise equity crude oil exports

    • United Kingdom
    • Information Services
    • 700 & Above Employee
    • Natural gas fundamentals analyst - Europe
      • Oct 2017 - Jun 2020

      Market fundamentals analysis and price assessment in a daily publication: -Analysis of natural gas market fundamentals to explain short and long term prices trends (supply & demand, regulations, LNG, incidents, storage…). -Price assessment for OTC contracts. Calculate spreads between different markets. -Building and automating Excel analysis spreadsheets with VBA. Market fundamentals analysis and price assessment in a daily publication: -Analysis of natural gas market fundamentals to explain short and long term prices trends (supply & demand, regulations, LNG, incidents, storage…). -Price assessment for OTC contracts. Calculate spreads between different markets. -Building and automating Excel analysis spreadsheets with VBA.

    • France
    • Oil and Gas
    • 700 & Above Employee
    • Business / Hedging analyst
      • Jun 2015 - Oct 2017

      Financial and risk analyst within the financial direction and risk committee of the TotalEnergies UK affiliate: -Monthly financial results analysis, consolidation, and reporting, with Excel VBA models: - P&L analysis to identity and explain all different effects impacting the results (commercial policy, currency effect, oil price variation…) - presentation of the financial results to the management + reporting to the head office (Paris) - results consolidation in the IT system (Essbase) -Coordination of the yearly financial budget forecast and the 5-year strategic plan -Hedging: hedging of oil cargoes with swaps. - creation of an Excel model to establish the hedging strategy for each business channel. Modelling volumes subject to market price exposure up to 6 months in advance (based on cargo supply, stock layering, sales, pricing policy), along with oil swap positions to take in order to hedge the risk - monthly hedging results reporting + quarterly reporting to the risk committee -Programming: Excel VBA macro (900 lines) to retrieve automatically a lot of data from SAP.

    • France
    • Personal Care Product Manufacturing
    • 700 & Above Employee
    • IT Support - Data Migration from SAP to TM1
      • Apr 2014 - Dec 2014

      Renewal of the financial information system of L'Oréal Group: installation of TM1 software (IBM) in addition to SAP to create a worldwide standardized financial analysis system - Working closely with L'Oréal management controllers worldwide to search and solve in the database all discrepancies that occured during the financial data migration from SAP to TM1 - Communication with L'Oréal worldwide subsidiaries about best practises related to data integration Renewal of the financial information system of L'Oréal Group: installation of TM1 software (IBM) in addition to SAP to create a worldwide standardized financial analysis system - Working closely with L'Oréal management controllers worldwide to search and solve in the database all discrepancies that occured during the financial data migration from SAP to TM1 - Communication with L'Oréal worldwide subsidiaries about best practises related to data integration

    • Business analyst
      • Jun 2012 - Nov 2013

      Business analysis of European downstream subsidiaries Monthly financial performance analysis and reporting: - P&L consolidation in the IT systems (Essbase) - preparation of the financial results dashboard for senior management Coordination of the yearly financial budget forecast Business analysis of European downstream subsidiaries Monthly financial performance analysis and reporting: - P&L consolidation in the IT systems (Essbase) - preparation of the financial results dashboard for senior management Coordination of the yearly financial budget forecast

    • France
    • Banking
    • 700 & Above Employee
    • Front Office - Equity derivatives structured products sales - Italian desk
      • Jun 2011 - Dec 2011

      Equity derivatives structured products sales, Italian desk: Processing secondary market deals Drafting term sheets, and pitch presentations for potential investors Products' valuation reportings Equity derivatives structured products sales, Italian desk: Processing secondary market deals Drafting term sheets, and pitch presentations for potential investors Products' valuation reportings

Education

  • Grenoble Ecole de Management
    Master's degree - Grande Ecole, Finance & Management
    2009 - 2013
  • Lycée Louis Barthou
    Classe prépa HEC: university level - Preparatory class for Business School entrance exam, Science
    2007 - 2009

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