CRO - Market Risk Analysis & Control - AVP

1 week ago


Singapore Deutsche Bank Full time
What we will offer you:

A healthy, engaged and well-supported workforce are better equipped to do their best work and, more importantly, enjoy their lives inside and outside the workplace. That's why we are committed to providing an environment with your development and wellbeing at its center.

You can expect:
  • Flexible benefits plan including virtual doctor consultation services
  • Comprehensive leave benefits
  • Gender Neutral Parental Leave
  • Flexible working arrangements
  • 25 days of annual paid leave, plus public holiday & Flexible Working Arrangement
Your key responsibilities:
  • Help MRMs further improve the Market Risk Management framework, providing subject-matter expertise on risk data (e.g., HSFR, FRTB methodology, risk sensitivities and stress testing) in collaboration with teams across Market Risk, Methodology, IT and Strats, and other Infrastructure partners including Valuations, Business Finance, and Credit Risk Management.
  • Coordinate delivery of analysis and explain of statistical models; these include, but are not limited to Value At Risk (VaR), Stressed Value At Risk (SVaR), Incremental Risk Charge (IRC), FRTB IMA and SA, Risk Weighted Assets (RWA) and Economic Capital (EC)
  • Provide analytical support to Market Risk Managers (MRMs) to facilitate risk management / business decisions; this includes performing impact analysis on statistical models (e.g., VaR/EC/RWA) of new trades, presenting and explaining results to Market Risk Managers and Front Office traders
  • Help develop and automate analysis reports for summarizing and presenting statistical results to facilitate robust risk management practices; this includes assisting in maintaining and enhancing the python library for analytics and reporting.
  • Help identify and resolve data quality and inconsistency issues in collaboration with other MRAC teams and suggest process improvements to highlight and remediate them quickly.
  • Contribute to regulatory or internal projects or programmes / migrations to increase Front to Back efficiency, improve controls, or satisfy regulatory requirements such as FRTB.
  • Participate in various system migration and enhancement to enable Market Risk Management to optimally manage risk in conjunction with the business.
Your skills and experience:
  • Min of 3 years from a financial services organization having experience in financial market products.
  • Working experience in Excel and using large data sets in a statistical software package as Python for analysis and risk management.
  • Proven experience in understanding complex front to back processes while looking for ways to improve existing processes.
  • Working experience in various risk frameworks and how they are interconnected for bank's capital.
  • Excellent communication skills with ability to articulate technical and financial topics with Global stakeholders.
  • Able to multi-task and deliver under tight deadlines.
  • Attention to details and numerically literate.
Role is required to be performed on-site at One Raffles Quay office. Relevant vaccination requirements may apply.

How we'll support you:
  • Flexible working to assist you balance your personal priorities
  • Coaching and support from experts in your team
  • A culture of continuous learning to aid progression
  • A range of flexible benefits that you can tailor to suit your needs
  • Training and development to help you excel in your career

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