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

Deutsche Bank

Manila, Philippines
Base: competitive salary; bonus/equity: not specif...
Not specified
Market risk identification and assessment
Independent valuation of balance sheet positions
Validation of trade economic terms
Deutsche Bank is seeking a Valuations Specialist/Analyst for their Market and Valuations Risk Management team in Manila. The ideal candidate will possess a strong background in finance, particularly in market products, and demonstrate excellent analytical and problem-solving skills

Job Summary

  • The Market and Valuation Risk Management group is a 2nd line of defence control responsible for independent valuation and market risk management across the Corporate & Investment Bank.
  • Key responsibilities include identifying off-market exceptions, validating exotic trades, reviewing methodologies, and driving continuous improvement initiatives.
  • Deutsche Bank offers competitive salary, attractive retirement benefits, medical and life insurance upon employment, and 20 days annual vacation leave.

Matching Summary

Match Score: 85

Deutsche Bank is seeking a Valuations Specialist/Analyst for their Market and Valuations Risk Management team in Manila. The ideal candidate will possess a strong background in finance, particularly in market products, and demonstrate excellent analytical and problem-solving skills.

Salary

Base: Competitive Salary; Bonus/Equity: Not specified; Benefits: Attractive Retirement Benefit; Medical and Life Insurance; 20 days Annual Vacation Leaves

Skills & Requirements

Must-have

  • Market risk identification and assessment
  • Independent valuation of balance sheet positions
  • Validation of trade economic terms
  • Control gap identification and escalation
  • Financial markets product knowledge
  • Strong analytical and problem-solving skills

Nice-to-have

  • Programming or data analytics experience
  • Ability to work in multi-cultural settings
  • Intrinsic motivation and critical thinking
  • Experience with change initiatives and technology collaboration

Key Requirements

  • Bachelor's Degree in Math, Statistics, Accountancy, Financial Engineering, Finance or equivalent
  • Professional qualifications such as CIMA, CPA, CFA, FRM or Master's Degree preferred
  • Knowledge of Credit, Rates, FX, Equities, and Derivatives products
  • Experience in financial markets and regulatory environment

Work Rights

Not specified

Tailored Resume

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