Henrik Schmitt-Radloff

Experienced Energy, Trading, Sales, Renewables, Finance and Risk Executive

Germany

About

Finance/ Risk/ Controlling/ Treasury/ Accounting - Renewables/ Green Sourcing & Energy Economics - Data Analytics, Tech & Automation - Trading & Financial Marktes - Driving Business & Value Add - Strategy Development & Execution

Experience

  • Head Group & Markets Risk Management at BKW AG
    Apr 2026 - Present · 4 mos

    Leading BKW‘s central finance function for Group Risk Management and Energy Solutions Risk Management. Enterprise Risk, Quantitative Risk Management, Credit & Treasury Risk, Market Risk, Risk IT.

  • Chief Financial Officer at MET Germany GmbH
    Oct 2024 - Feb 2026 · 1 yr 5 mos

    Accounting, Controlling, Risk Management, Treasury, Performance Measurement, HR, Tax, Office Management, Credit Management

  • E.ON (3 yrs 7 mos)
    • Vice President Risk Management E.ON Energy Markets GmbH
      Dec 2023 - Oct 2024 · 11 mos

      Being E.ON Energy Market’s lead risk manager, I give decision making advice while enforcing transparency and governance around E.ON‘s trading and retail risks (market, credit, counterparty, margining) as well as group commodity and credit risks. Leading directly 35 FTEs (E.ON Energy Market GmbH’s Quant Risk, Market Risk, Credit Risk) as well as functionally leading all Energy Market risk functions in 12 E.ON regions (eg UK, Benelux, DE).

    • Vice President Controlling & Risk Energy Markets E.ON SE
      Apr 2021 - Dec 2023 · 2 yrs 9 mos

      Leading E.ON`s central finance and risk function within Customer Solutions Energy Markets segment. Developing & establishing E.ON Energy Markets GmbH as E.ON‘s new central market facing (green) sourcing, optimization, risk mgmt and analytics aggregator & automator. Focus on integrated sales and customer centric sourcing.

  • Head Risk Management at MVV Trading GmbH
    Feb 2019 - Mar 2021 · 2 yrs 2 mos

    MVV Energie AG - one of Germany‘s biggest regional utilities (Regionalversorger) Leading risk department Leadership, empowering & digitalization Business and strategy development Strategy, Methods, Technology & Steering: Risk management for trading, prop, sales, renewables and asset backed activities Finance, Treasury, Controlling, Accounting Risk pricing Data Mgmt & Science / Infrastructure & Automation Data Viz/ BI & Dashboarding / Reporting Quantitative Analysis Contract Management Deal structuring Trade Finance & Relationship Mgmt Counterparts Financial and energy markets regulation Product Management

  • Senior Financial & Commodity Risk Manager at Axpo Group
    Sep 2016 - Jan 2019 · 2 yrs 5 mos

    Axpo - largest Swiss Utility and leading European Commodity Trader Supervision of energy & commodity trading activities from group holding perspective; Group CFO/ supervisory board briefing Group risk appetite and trading risk capacity Models & processes for managing market, credit, liquidity, energy risks and resp portfolio effects Corporate risk report Axpo group Group Treasury risk management Assessment of growth initiatives, digitalization investments, origination deals and renewables business models energy and power purchase agreements (PPA)