Market Risk Manager - Securitization, Commercial Real Estate, Structured Credit - Vice President
Deutsche Bank
Job Description:
Job Title Market Risk Manager – Securitization, Commercial Real Estate, Structured Credit
Corporate Title Vice President
Location New York, NY,
Overview
As The position is within Market Risk Management which is responsible for managing trading and fair value banking book risk specifically for the Securitization, Commercial Real Estate and Structured Credit businesses within Deutsche Bank. Market Risk Management (MRM) carries out this responsibility independently providing a comprehensive view of market risks to Senior Management. The professional will ensure that Business units of the Bank optimize the risk-reward relationship and do not expose the Firm to unacceptable losses. We are looking for a Self-motivated professional who can work well in a fast paced environment, collaborating within a team, and interacting with traders, quants, research, etc. on a daily basis. Prior experience with fixed income products are preferred.
What We Offer You
A diverse and inclusive environment that embraces change, innovation, and collaboration
A hybrid working model, allowing for in-office / work from home flexibility, generous vacation, personal and volunteer days
Employee Resource Groups support an inclusive workplace for everyone and promote community engagement
Competitive compensation packages including health and wellbeing benefits, retirement savings plans, parental leave, and family building benefits
Educational resources, matching gift and volunteer programs
What You’ll Do
Set appropriate Risk Appetite for each business level. Sit with the traders and monitor and manage risk real time on a day to day basis
Monitor daily limit utilizations, evaluate limit frameworks and communicate risk exposure and breaches to front office and senior risk management
Analyze stress test scenarios and direct hedging strategies based on economics, VaR, stress test and capital efficiencies. Advise business on stress/capital capacity allocations and hedging strategies
Ability to understand risk contributors and drivers of VaR, Economic Capital and Stress
Support Comprehensive Capital Analysis Review (CCAR) quarterly, semi-annual, and annual reporting requirements. Evaluate portfolio capital efficiencies and identify positions with material Risk Weighted Assets (RWA) and stress utilizations
Ensure internal and external governance policies are being effectively applied. Review and Approve Leverage Finance deals in underwriting committee meetings
How You’ll Lead
Market Risk Management: highlighting key risks and new important trades/products and escalating emerging risks, concentrated positions, and any risk position that is particularly vulnerable to plausible stress scenarios or current market conditions
Front Office: challenging the desk on the aforementioned set of risks and work cooperatively to allow the growth of the Business within the Firm risk appetite
Portfolio and Stress Testing team: working together with these teams to ensure the key risk positions of the Business covered are well represented in their aggregated metrics
Skills You’ll Need
Moderate experience in market risk management, either as a second line (market risk) or as a first line (trading, structuring) of defence, ideally in Securitization, Credit or Structured Finance Experience in roles such as valuation will be considered, if the candidate can show a great understanding of the market risks arising from trading positions
Strong experience in markets-related roles with an emphasis on market risk management. Having an understanding of Credit Risk is also a plus
Expectation to challenge the pricing, flexing and hedging strategies for new issuance based on market dynamics, realized new issuance volatilities and potential risk development
Some knowledge of credit risk analysis with keen insights into what is driving credit exposures
Ability to run projects independently and build strong relationships across the Bank
Skills That Will Help You Excel
Experience in Market Risk Management, ideally in Securitization, Credit or Structured Finance
Familiarity with current regulatory initiatives such as Fundamental Review of Trading Book (FRTB), Volker, stress testing
Experience in assessing, quantifying and implementing appropriate portfolio stress tests
High standards of integrity and a commitment to ‘doing the right thing’
Team player with great communication skills
Expectations
It is the Bank’s expectation that employees hired into this role will work in the New York City office in accordance with the Bank’s hybrid working model.
Deutsche Bank provides reasonable accommodations to candidates and employees with a substantiated need based on disability and/or religion.
The salary range for this position in New York, NY is $125,000.00 to $203,000.00. Actual salaries may be based on a number of factors including, but not limited to, a candidate’s skill set, experience, education, work location and other qualifications. Posted salary ranges do not include incentive compensation or any other type of remuneration.
Deutsche Bank Benefits
At Deutsche Bank, we recognize that our benefit programs have a profound impact on our colleagues. That’s why we are focused on providing benefits and perks that enable our colleagues to live authentically and be their whole selves, at every stage of life. We provide access to physical, emotional, and financial wellness benefits that allow our colleagues to stay financially secure and strike balance between work and home. Click here to learn more!
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