Global Foreign Exchange (gfx) Structuring

Deutsche Bank

London, United Kingdom
Hybrid
Global foreign exchange (gfx) derivative business
Fx options and complex derivatives
Client facing
You will support the Global Foreign Exchange (GFX) derivative business for DB’s institutional client base in London and EMEA, partnering closely with Sales, Trading, and Research

Job Summary

  • You will support the Global Foreign Exchange (GFX) derivative business for DB’s institutional client base in London and EMEA, partnering closely with Sales, Trading, and Research.
  • The role consists of generating bespoke trade ideas using FX options and complex derivatives, tailored client content, as well as analysis to help close derivative transactions.
  • We are committed to providing an environment with your development and wellbeing at its centre, offering hybrid working, competitive salary, and a range of flexible benefits.

Matching Summary

You will support the Global Foreign Exchange (GFX) derivative business for DB’s institutional client base in London and EMEA, partnering closely with Sales, Trading, and Research.

Skills & Requirements

Must-have

  • Global Foreign Exchange (GFX) derivative business
  • FX options and complex derivatives
  • Client facing
  • Analytical & quantitative skills
  • Technical competence
  • Strong work ethic

Nice-to-have

  • Interpersonal skills
  • Client relationship management
  • Continuous learning culture
  • Team collaboration

Key Requirements

  • Previous relevant experience in Foreign Exchange (FX) Structuring
  • Bachelors/Masters degree or equivalent in STEM or Economics/Finance
  • Track record of pricing, structuring & executing FX derivatives
  • Experience in modelling and back-testing hedging strategies
  • Understanding of global macro markets and risk management
  • Comfortable presenting to clients & explaining complex ideas

Work Rights

Not specified

Tailored Resume

Cover Letter