Market Risk Manager - Vice President

Deutsche Bank

New York, NY, US
Base: $125,000 to $222,500; bonus/equity: not spec...
Hybrid
Moderate experience in market risk management
Experience with structured finance products
Understanding of var and stress test scenarios
The position is responsible for managing trading and fair value banking book risk for credit businesses including Securitization and Commercial Real Estate

Job Summary

  • The position is responsible for managing trading and fair value banking book risk for credit businesses including Securitization and Commercial Real Estate.
  • The professional will monitor daily limit utilizations, evaluate limit frameworks, and communicate risk exposure and breaches to senior management.
  • Deutsche Bank offers a hybrid working model, competitive compensation packages, and generous benefits including health and retirement savings plans.

Matching Summary

The position is responsible for managing trading and fair value banking book risk for credit businesses including Securitization and Commercial Real Estate.

Salary

Base: $125,000 to $222,500; Bonus/Equity: Not specified; Benefits: Health, retirement, parental leave

Skills & Requirements

Must-have

  • Moderate experience in market risk management
  • Experience with structured finance products
  • Understanding of VaR and stress test scenarios
  • Ability to challenge front office trading desks
  • Knowledge of credit risk analysis drivers

Nice-to-have

  • Familiarity with FRTB and Volcker regulations
  • Experience assessing portfolio capital efficiencies
  • Strong communication skills for cross-functional teams
  • Background in valuation roles
  • Commitment to integrity and doing the right thing

Key Requirements

  • Moderate experience in market risk or trading
  • Experience covering Structured Finance
  • New York, NY office work requirement

Work Rights

Not specified

Tailored Resume

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