Cedric Chaway
About Cedric Chaway
Cedric Chaway is a Senior Structurer at ExxonMobil, specializing in EMEA Crude, Gas, and Products Trading, with extensive experience in trading strategies, risk management, and quantitative analysis.
Title
Cedric Chaway holds the position of Senior Structurer in EMEA Crude, Gas, and Products Trading at ExxonMobil.
Current Role at ExxonMobil
Since 2018, Cedric Chaway has been working at ExxonMobil as a Senior Structurer in EMEA Crude, Gas, and Products Trading. His role involves developing trading strategies, dynamic hedging, and deal structuring within the energy sector. He utilizes quantitative analysis and financial modeling tools such as VBA, Matlab, and Python to enhance trading operations.
Previous Experience
Cedric Chaway has a comprehensive background in the trading industry, having worked at several notable companies. From 2016 to 2018, he was a Senior Trading and Risk Analytics Manager at Aot Energy in Zug, Switzerland. Prior to that, he served as a Senior Trading Risk Manager at Axpo Group in Baden, Aargau, Switzerland, from 2012 to 2016. He also worked as a Senior Trading Analyst in Commodity and Energy Trading at Rwe Supply & Trading Gmbh in Essen, Germany, from 2010 to 2012. His earlier roles include Fixed Income and Credit Derivatives Trading Analyst at Credit Suisse in Zurich, Switzerland, from 2006 to 2009, and Senior Quant in Financial Modelling at Thomson Reuters in Toronto, Canada, from 2001 to 2005.
Education and Qualifications
Cedric Chaway has a diverse educational background. He studied Finance at Université Libre De Bruxelles from 2006 to 2007. He holds a Master’s degree in Economics and Statistics from the College of Europe, completed in 2001, and another Master’s degree in Management and Finance from Solvay Brussels School, completed in 2000. Additionally, he studied Management and Finance at Finance@whu in 1998-1999.
Skills and Expertise
Cedric Chaway specializes in trading strategies, pricing for asset-backed vanilla and exotic options, and the valuation of asset optionalities and extrinsic value. His expertise extends across various commodities, including crude oil, gasoline, naphtha, diesel, gas oil, jet fuel, fuel oil, biofuels, petrochemicals, and freight. He also possesses significant skills in dynamic hedging, deal structuring, and risk management, covering areas such as market risk, liquidity risk, credit risk, and CVaR. He frequently engages in quantitative research within his role in EMEA Commercial & Trading.