Risk And P&l Specialist - Rates - Associate – Assistant Vice President

Deutsche Bank

New York, NY, US
Base: $85,000 to $142,250; bonus/equity: not speci...
Hybrid
Intraday trade booking monitoring
End-of-day closing process support
Fixed income and credit derivatives knowledge
The Kannon Middle Office team works in partnership with Trading, Global Strategic Analytics, Finance, Operations and Technology to deliver accurate and complete trader Risk and P&L on the Bank’s strategic valuation platform

Job Summary

  • The Kannon Middle Office team works in partnership with Trading, Global Strategic Analytics, Finance, Operations and Technology to deliver accurate and complete trader Risk and P&L on the Bank’s strategic valuation platform.
  • The role involves monitoring intraday trade bookings, orchestrating end-of-day close, investigating root causes of issues, and proposing immediate solutions to improve trade processing workflows.
  • Deutsche Bank offers a diverse and inclusive environment with a hybrid working model, competitive compensation, and comprehensive benefits including health, wellbeing, retirement savings, and family support.

Matching Summary

The Kannon Middle Office team works in partnership with Trading, Global Strategic Analytics, Finance, Operations and Technology to deliver accurate and complete trader Risk and P&L on the Bank’s strategic valuation platform.

Salary

Base: $85,000 to $142,250; Bonus/Equity: Not specified; Benefits: Health and wellbeing benefits, retirement savings plans, parental leave, family building benefits

Skills & Requirements

Must-have

  • Intraday trade booking monitoring
  • End-of-day closing process support
  • Fixed Income and Credit derivatives knowledge
  • Collaboration with Trading and Infrastructure teams
  • Risk and PnL substantiation
  • Problem-solving and analytical skills

Nice-to-have

  • Python for automation
  • Familiarity with Front Office risk systems
  • Understanding of Front-to-Back trade flows
  • Continuous improvement mindset
  • Strong communication skills
  • Team-oriented attitude

Key Requirements

  • Degree in Finance, Mathematics, Economics or related field
  • Relevant professional qualification (CFA, ACA) or Master’s degree preferred
  • Experience in Market Risk, Middle Office, Product Control or Risk and PnL role
  • Ability to work under pressure and meet tight deadlines

Work Rights

Not specified

Tailored Resume

Cover Letter