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Risk Specialist \u2013 Market Risk Manager Job Details

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Employer:  Deutsche Bank
Job Ref No:  3179246
Job Title:  Risk Specialist \u2013 Market Risk Manager
Sector:  Asset Management
Sub Sector:  Traditional Asset Manager
Risk Type:  Market
Expertise:  Risk Manager

Risk Specialist \u2013 Market Risk Manager

Job ID: 3179246

Full/Part-Time: Full-time

Regular/Temporary: Regular

Listed: 2018-09-03

Location: London, United Kingdom

The Risk division has a fundamental responsibility to protect the Bank. With group-wide responsibility for the management and control of credit, market, operational and reputational risks, we have a unique vantage point which allows us a holistic view of our businesses and our clients. Nearly 4,000 employees work together to achieve our ambition to be an industry-leading risk management organisation.
In an increasingly complex environment, risk management is fast-becoming the most sought after place to build a career within the banking world. Risk at Deutsche Bank is relied upon to help shape the strategy of the organisation and the wider industry agenda.

Position Overview

Job Title: Risk Specialist - Market Risk Manager
Corporate Title: Assistant Vice President
Division: Risk
Location: London


You'll be joining the Market Risk Management (MRM) department. We are responsible for managing market or fair value risk within Deutsche Bank. MRM carries out this responsibility in an independent and neutral way, providing a comprehensive and independent view of market risks to management.

Key Responsibilities:
  • Overseeing the Emerging Markets (EM) Debt business
  • Supporting the EM Europe Middle East and Africa (EMEA) trading desk with a special emphasis on Flow EMEA trading which covers Credit, Foreign Exchange (FX) and Rates trading
  • Daily monitoring of risk, stress and Value-at-Risk (VaR) exposures, and ensuring risk completeness and accuracy
  • Developing and implementing Risks not in Value-at-Risk (RNIV) and stress testing enhancements
  • Liaising with Front Office (FO) with respect to exposures, new business and market activity
  • Communication with and supporting other Risk management functions such as Methodology, Portfolio, Market Data and associated Working Groups and Committees
  • Liaising with other Infrastructure functions such as Product Control and Finance
  • Escalating issues or concerns promptly to management
  • Responding to ad hoc requests from the business, risk management or regulators

  • Skills and Qualifications:
  • The ability to quickly develop credible working relationships within a team as well as other departments
  • A strong desire to further your career as a FO facing Market Risk Manager
  • Previous experience in a Trading, Treasury, Risk or Finance environment with particular emphasis on linear rates, vanilla FX or flow credit
  • Strong technical and analysis skills (Excel, VBA, Python or similar, statistics, time series) and familiarity with Bloomberg
  • A degree or higher in Maths, Physics, Engineering, Quantitative Finance or equivalent/work experience
  • A good understanding of VaR and risk methodologies
  • A market risk manager, product controller or financial analyst with experience in Over the Counter (OTC) derivatives
  • Knowledge and understanding of market risk controls and governance frameworks
  • Experienced in defining, implementing and running RNIVs and stress tests

  • Deutsche Bank is an equal opportunity employer who seeks to recruit and appoint the best available person for a job regardless of marital / civil partnership status, sex (including pregnancy), age, religion, belief, race, nationality and ethnic or national origin, colour, sexual orientation or disability.
    Please let us know if you require any adjustments to enable you to apply or attend an interview. If you would like to discuss your requirements, or have any concerns about the application process, please contact your recruiter.

    Employment Type:  Full Time
    Region/Country:  Europe, UK
    City:  London

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