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VP - Collateralized Trading Risk & Margin Innovation

DEUTSCHE BANK AKTIENGESELLSCHAFT

Singapore

Hybrid

SGD 120,000 - 150,000

Full time

Yesterday
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Job summary

A leading global bank in Singapore is seeking an experienced professional to join their Second Order Risk Group. The successful candidate will develop innovative margin methodologies and manage second-order risks across various businesses. This role requires 7 to 10 years of experience in market risk within a top-tier investment bank and familiarity with APAC exchange regulations. The bank offers a hybrid working arrangement and a robust set of benefits including 25 days of annual leave and gender-neutral parental leave.

Benefits

Flexible benefits plan including virtual doctor consultation services
Comprehensive leave benefits
Gender-Neutral Parental Leave
Hybrid working arrangement
25 days of annual paid leave, plus public holiday
A culture of continuous learning

Qualifications

  • 7 to 10 years’ experience in market risk, trading, or management of margin solutions within a Top Tier Investment Bank.
  • 3 years’ experience working with APAC Exchange and Regulatory Margin Frameworks.
  • Prior experience in managing counterparty risk across various businesses including pricing and optimising costs.

Responsibilities

  • Enhance and develop margin methodologies to support new product offerings.
  • Design and implement Risk Frameworks for growth into new business segments.
  • Engage with Credit Risk Management and Product Heads on risk issues.

Skills

Sales
Legal Documents
Credit Risk Management
Market Risk
Base Metals
Portfolio Management
Python
Excel
Pricing
Credit Risk

Education

Strong technical and quantitative academic background from a top tier business or engineering school

Tools

Python
SQL
Job description
A leading global bank in Singapore is seeking an experienced professional to join their Second Order Risk Group. The successful candidate will develop innovative margin methodologies and manage second-order risks across various businesses. This role requires 7 to 10 years of experience in market risk within a top-tier investment bank and familiarity with APAC exchange regulations. The bank offers a hybrid working arrangement and a robust set of benefits including 25 days of annual leave and gender-neutral parental leave.
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