Job Description

Description

Valuation Control is a specialist group within Market and Valuations Risk Management (MVRM) that manages a wide range of relevant risk and implementation topics to ensure integrity and control over all aspects of the valuation of the Bank's trading portfolios.

This includes:

  • Performance of monthly and intra-month Independent Price Verification (IPV), Reserves and Prudential Capital 
  • Oversight and development of valuation, reserve and Prudential Capital methodologies
  • Analysis and management of key valuation uncertainty issues through DB's senior management
  • Review of bespoke derivative and structured financing trades
  • Valuations works closely with its Risk Management partners, Finance, and Trading globally and employs a team extension model in Mumbai.
  • What we’ll offer you

    As part of our flexible scheme, here are just some of the benefits that you’ll enjoy

  • Best in class leave policy<...
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