Assistant Vice President – Risk and P&L recruitment

About Risk and PL

Risk and PL is a Middle Office Finance function for Product and Financial Control within the GBS organisation. The primary responsibility for a product controller is to produce Risk and PL for the trading desk, substantiate these numbers, explain to both the traders and onshore Finance Directors and ensure that they maintain a ‘control’ environment.

Risk and PL is comprised of seven groups which, in one way or the other, service all DB’s major trading hubs. The particular concentration is on supporting the European and Americas regions, principally London, Frankfurt and New York. The seven groups are:

1. GME - Global Markets Equity

2. GFFX – Global Finance and Foreign Exchange

3. GM – Global Rates (GR), Distressed Products Group (DPG) Commercial Real Estate (CRE)

4. Global Commodities

5. GC – Global Credit

6. FINCON – Financial Control

7. CTB – Change the Bank

Role and Responsibilities

Working within the GME/Credit group, the candidate will be accountable for managing and growing the service delivery for Daily T+1 PL production and monthly financial control. The principal products covered are Cash Equities, Prime Finance, Equity and Credit Derivatives, CDS ,IRS,TRS,Bonds ,Loans and Structured Credit products.

Core responsibilities:

Technical Skills

Qualifications and Skills

o The individual should be experienced in dealing with a diverse range of stakeholders including senior management

o Proven track record of the ability to work to deadlines in an accurate manor

o Adaptable and culturally aware. Experience of working in a global environment preferable

o Experience in dealing with Front Office traders