Vp – Risk And Trading

Deutsche Bank UK

Mumbai, India
Not specified; not specified; best in class leave ...
Fixed income products understanding
Bond pricing and funding curve methodologies
Risk management of issuance portfolio
The role supports the Debt Issuance function by managing active risk and hedging for Senior Preferred and Non-Preferred debt across EMEA and APAC desks

Job Summary

  • The role supports the Debt Issuance function by managing active risk and hedging for Senior Preferred and Non-Preferred debt across EMEA and APAC desks.
  • Candidates will utilize platforms like Kondor, Summit, and Bloomberg to handle trade capture, life-cycle management, and financial reporting.
  • Deutsche Bank offers a comprehensive benefits package including gender-neutral parental leaves, childcare assistance, and sponsorship for industry certifications.

Matching Summary

The role supports the Debt Issuance function by managing active risk and hedging for Senior Preferred and Non-Preferred debt across EMEA and APAC desks.

Salary

Not specified; Not specified; Best in class leave policy; Gender neutral parental leaves; 100% reimbursement under childcare assistance benefit

Skills & Requirements

Must-have

  • Fixed Income Products understanding
  • Bond pricing and funding curve methodologies
  • Risk management of Issuance portfolio
  • Trade capture in Kondor Summit iTAP Bloomberg
  • Quantitative background in Finance or Mathematics

Nice-to-have

  • Knowledge of DBAnalytics tools
  • Programming language proficiency for datasets
  • Experience with strategic change projects
  • Collaborative work in global teams
  • Intellectually curious mindset

Key Requirements

  • University degree with quantitative focus
  • Strong analytical and problem-solving skills
  • Ability to interface with demanding stakeholders

Work Rights

Not specified

Tailored Resume

Cover Letter