US Rates Market Risk Manager
As a Market Risk Manager covering Rates, you will ensure the effective risk management and oversight US Rates business which includes a variety of sub-businesses such as Repo, Treasuries, Swaps, Options, Exotics, RMBS and Munis. You will join a team of risk managers sitting on the trading floor and directly coordinating with traders and other business partners to help support business expansion initiatives, daily risk management, help with risk appetite calibrations, improve framework and reporting and strive for efficiency and streamlining of processes.
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
Developing, implementing, and maintaining risk control framework for the US Rates businessDaily monitoring of risk, stress and Value-at-Risk (VaR) exposures, ensuring risk completeness and accuracy (for example by monitoring closely and understanding the P&L drivers every day)Developing and implementing new stress testing analyses to better quantify the different basis risks that the desk runsKeeping abreast of latest news and possible implications to the markets and the positions that the desk runsEnsuring internal and external governance policies are being effectively appliedLiaising with trading desks with respect to exposures, new business and market activity and driving risk management infrastructure developmentHow You'll Lead
High standards of integrity and a commitment to 'doing the right thing' i.e. ability to challenge the BusinessMentor junior team membersSkills You'll Need
Moderate experience in market risk management, trading, structuring which involves understand of market ratesExperience and understanding of other rates products Repo, Treasuries, Swaps, Options, Inflation, RMBS, MuniCritical thinking with ability to understand and analyse large amount of data and think outside the boxExperience and ability to work in a fast-paced environment, working with a variety of teams, communicating well and conciselySkills That Will Help You Excel
Strong interpersonal skills, with ability to build internal and external client and stakeholder relationshipsDeep understanding of financial marketsSound understanding of bank regulatory frameworkConfidence, drive and enthusiasmAbility to uphold the team's standards in disagreements with stakeholders whilst maintaining a constructive dialogExpectations
It is the Bank's expectation that employees hired into this role will work in the New York 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 City is $125,000 to $203,000. 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.
We welcome applications from all people and promote a positive, fair and inclusive work environment.