Castleton Commodities International is an independent global commodities merchant. As a trader, CCI deploys capital on a proprietary basis in the physical and financial commodity markets, providing the Company with market insights and access. As a strategic investor and developer, CCI leverages its market expertise, operations capabilities, and industry knowledge to invest in, and develop, select commodity infrastructure assets. CCI focuses its activities on the markets it understands best, while constantly striving to expand its knowledge base and network of relationships in order to participate in new markets.
Headquartered in Stamford, Connecticut, CCI conducts business from offices located around the world including Calgary, Canada; Houston, Texas; New York, New York; Geneva, Switzerland; London, United Kingdom; and Singapore. The Company has more than 500 employees across four continents.
Programme overview
This is a summer internship programme for analysts to gain exposure to commodity products, structuring, and trading with an emphasis on risk. From there, participants will participate in either two 5-week rotations or one 10-week rotation through matched trading desks. At the end of the Summer Intern Program, a desk may extend an offer of employment to become a future Analyst.
This programme is a unique opportunity designed to provide a strong basis for a role within the business, and to identify and develop people who have the desire to become active players in the company. Graduates will be exposed to the fundamental components of the global commodities industry.
Requirements
At CCI, we are dedicated to attracting and retaining top talent. We value our human capital and seek strong contributors whom we can support and provide with the opportunities to be successful. We are seeking individuals who have strong technical skills along with an understanding of derivative products and an interest in the commodity markets.
Responsibilities (Trading/Analysis)
- Analyse markets to identify trading opportunities, analysing and understanding risks
- Design and develop models to analyse economic data, market fundamentals and forecast prices
- Perform research and statistical studies of identified risk factors
- Identify market pricing trends and discontinuity
- Design and formulate trade ideas and execute with rigorous risk management control. Run back-testing to verify the strategy prior to production execution
- Review research reports and articles that examine recent developments in the energy markets
- Build up close connection with external consultancies and internal research team
Qualifications
- Pursuing Bachelors or Master’s in Mathematics, Engineering, Finance, Statistics, Business, Economics, Energy, Computer Science, Physics or a related field of study
- Expected graduation date in 2026
- Prior internship/exposure to the commodities markets, or experience with other financial institutions and consulting is preferred
- Excellent analytical and technical skills in one or more of the following: R, Python, Matlab, C++, VBA, Excel—as well as SQL or other database exposure. Python is the preferred programming language. Should you be selected for interviews, be prepared to review Python and SQL.
- Superior communication skills both verbal and written
- Ability to work as an effective team player and add value to team