Market And Valuations Risk Management – Valuations Specialist/analyst - Associate / Senior Analyst

Deutsche Bank UK

Manila, Philippines
Market conformity control
Exotic trade review
Independent valuation
The Market and Valuation Risk Management group is a 2nd line of defence control responsible for independent valuation of balance sheet positions

Job Summary

  • The Market and Valuation Risk Management group is a 2nd line of defence control responsible for independent valuation of balance sheet positions.
  • Key responsibilities include identifying and escalating off-market exceptions and ensuring economic terms of exotic trades are appropriately represented.
  • The company offers a competitive salary, attractive retirement benefit, medical and life insurance, and 20 days annual vacation leaves.

Matching Summary

The Market and Valuation Risk Management group is a 2nd line of defence control responsible for independent valuation of balance sheet positions.

Skills & Requirements

Must-have

  • Market Conformity Control
  • Exotic Trade Review
  • independent valuation
  • financial markets products
  • control gaps identification

Nice-to-have

  • critical thinking
  • multi-cultural setting
  • continuous improvement initiatives
  • dynamic market environment

Key Requirements

  • Bachelor's Degree in Math, Statistics, Accountancy, Financial Engineering, Finance or equivalent
  • Professional qualification or Master's Degree will be an advantage
  • Programming or data analytics experience preferred
  • Strong control mind-set and analytical skills

Work Rights

Not specified

Tailored Resume

Cover Letter