Market Risk Manager - Vice President
$125k - $222.5kDormont Manufacturing Co
Job Description: Job Title Market Risk Manager Corporate Title Vice President Location New York, NY Overview The position is within Market Risk Management, which is responsible for managing trading and fair value banking book risk for a breadth of primary and secondary credit and equity businesses including Credit/Equity Trading, Origination, Financing, as well as Residential Mortgage‑Backed Security (RMBS), Securitization, Commercial Real Estate (CRE) 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 cash and derivative equity and/or fixed‑income products is 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 Appetites for each business level and sit with the traders, communicate risk strategies and monitor and manage risk in real time on a daily basis Monitor intraday and daily limit utilizations, evaluate limit frameworks, and communicate risk exposure and breaches to front office as well as senior risk management Analyze key market risk metrics including Value at Risk (VaR), Stress Test, Risk Weighted Assets (RWA), and advise business on effective hedging strategies Preapprove equity financing transactions such as call spreads, collars, margin loans, and accelerated share repurchases ahead of desk bidding, including pre‑trade analysis and approval recommendations for on‑risk block trades 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 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 working 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 defense, ideally covering an equity options business. 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 Expectation to challenge the pricing and hedging strategies for equity financing transactions and/or block trades Having an understanding/experience covering securitized products is also a plus 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 covering an equity business (incl derivatives) Familiarity with current regulatory initiatives such as Fundamental Review of Trading Book (FRTB), Volcker, 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 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 $222,500. 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. Benefits We recognize that our benefit programs have a profound impact on our colleagues. We provide access to physical, emotional, and financial wellness benefits that allow our colleagues to stay financially secure and strike a balance between work and home. Equal Opportunity Qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, protected veteran status or other characteristics protected by law. Additional Information If you are interested in receiving a copy of Deutsche Bank’s California Privacy Notice please email View email address on click.appcast.io. We welcome applications from all people and promote a positive, fair and inclusive work environment. We strive for a culture in which we are empowered to excel together every day. This includes acting responsibly, thinking commercially, taking initiative and working collaboratively. Together we share and celebrate the successes of our people. Together we are Deutsche Bank Group. #J-18808-Ljbffr Dormont Manufacturing Co
$125k - $222.5k
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$125k - $198k
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$130k - $188k
...s global futures business, helping shape client exposure management and the firm's risk framework while working closely with senior leaders in New... ...30 years of experience operating across all major global markets, providing nonstop, 24-hour futures coverage. It's an...Temporary workWork from homeFlexible hours- * Ensure appropriate risk frameworks are in place to control market risk and that processes exist to monitor against limits.* Maintain continuous awareness... ...timely and accurate market risk updates to senior management.* Ensure the integrity of risk metrics and limit monitoring...Flexible hours
$88.8k - $165.6k
BMO seeks a Manager, Structural Market Risk in New York to support the development and enhancement of quantitative risk models. This role includes collaboration with various teams to manage structural market risk and assure compliance with regulatory requirements. Candidates...$165k - $180k
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