Job ID:R0115701 Listed: 2021-01-06 Regular/Temporary: Regular Location: New York See More
Deutsche Bank Securities Inc. seeks a Director, in New York, NY to structure and market interest and FX risk management strategies for corporate clients. Requires a Bachelor's degree in Finance, Economics, or related field or equivalent and five (5) years of progressively responsible experience identifying key risks and mitigating factors for clients, including risks derived from interest rates, foreign exchange, capital markets activities, and related. Prior experience must include at least five (5) years of progressively responsible experience executing derivative transactions, including interest rate and cross-currency derivatives across vanilla options and structured transactions; structuring and marketing interest and FX risk management strategies for clients using advanced Excel techniques; understanding and evaluating legal, organizational, and risk structures to provide sound market solutions; preparing term sheets and execution strategy for use in independent and broader financial analyses; applying knowledge of XVA pricing methodologies, and RWA and Leverage Ratio calculations, including forecasted regulatory changes and their potential impact on transactions; recommending risk management strategies, appropriate product selection, and competitive trade pricing to determine best practice for execution; using Bloomberg and financial filings to research clients, view market data, and price transactions; and working with bond and derivative products across global markets by applying derivative and bond pricing theory. #DNI
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Valid through: 3/4/2021