Market Risk Manager - Vice President

Deutsche Bank UK

New York, United States
Base: $125,000 to $222,500; bonus/equity: not spec...
On-site
Market risk management experience
Equity and/or fixed income products
Analyze key market risk metrics
The position is within Market Risk Management, responsible for managing trading and fair value banking book risk for credit and equity businesses

Job Summary

  • The position is within Market Risk Management, responsible for managing trading and fair value banking book risk for credit and equity businesses.
  • Key responsibilities include setting risk appetites, monitoring limits, analyzing risk metrics, and advising on hedging strategies.
  • The role involves collaborating with traders, quants, and research teams, and ensuring business units optimize risk-reward relationships.

Matching Summary

The position is within Market Risk Management, responsible for managing trading and fair value banking book risk for credit and equity businesses.

Salary

Base: $125,000 to $222,500; Bonus/Equity: Not specified; Benefits: Included

Skills & Requirements

Must-have

  • Market risk management experience
  • Equity and/or fixed income products
  • Analyze key market risk metrics
  • Monitor intraday and daily limit utilizations
  • Communicate risk strategies to traders

Nice-to-have

  • Experience with Securitized products
  • Familiarity with FRTB and Volcker
  • Assess and implement portfolio stress tests
  • Collaborate with traders and quants

Key Requirements

  • Moderate experience in market risk management
  • Experience covering an Equity options business
  • Experience with cash and derivative equity/fixed income products
  • Ability to run projects independently

Work Rights

Not specified

Tailored Resume

Cover Letter