Role Description
Deutsche Banks markets business offers a fully-integrated and global product platform. With unrivalled breadth and superior execution capabilities, we are dedicated to making markets and providing client solutions in a wide range of products.Our product range includes external debt and Credit Default Swaps (CDS), FX, rates, options and the more complex cross-market derivatives covering multiple jurisdictions.At DIPL, we adopt a global focus for all our clients and this spans various job profiles like Structuring, Portfolio Management, Quantitative Analytics, Platforms, Sales & Trading Enablement and RiskThe XVA trading teams in London and New York operate across markets and serve as a conduit of information, knowledge, and expertise across these markets. You will be assisting in the fundamental analysis of issuer credit quality which is the key determinant of the banks underwriting appetite & trading strategiesWhat we'll offer you
As part of our flexible scheme, here are just some of the benefits that youll enjoy
Best in class leave policyGender neutral parental leaves100% reimbursement under child care assistance benefit (gender neutral)Flexible working arrangementsSponsorship for Industry relevant certifications and educationEmployee Assistance Program for you and your family membersComprehensive Hospitalization Insurance for you and your dependentsAccident and Term life InsuranceComplementary Health screening for 35 yrs. and aboveYour key responsibilities
In-depth analysis of business model, industry, financial performance (balance sheet, income statement, cashflows, liquidity, financial ratios), management quality and expected future performance (cashflow models/forecasts) as well as market data and peer analysis to take a comprehensive view on credit risk being underwritten in lending/derivative booksCombining credit analysis with market view (yields, credit spreads) to determine the appetite & hold period for underlying creditRegular & ongoing portfolio monitoring (tracking of company/sector news, earnings, credit & market events) to determine any change in trading strategy in terms of reducing/exiting the credit position, de-risking strategies or building incremental positions into lending/derivative booksAssist/participate in counterparty due-diligence calls and visitsYour skills and experience
Good sector/country risk assessment skillsUnderstanding of credit market/productsSelf-starter with ability to firmly communicate ideas and clear recommendations based on analysisDecision making and working under pressureTeam player attitude, flexibility and excellent interpersonal skillsYour qualification
Minimum Undergraduate- preferably CA/MBA/CFAMinimum 2-3 years of credit analysis experienceHow we'll support you
Training and development to help you excel in your careerFlexible working to assist you balance your personal prioritiesCoaching and support from experts in your teamA culture of continuous learning to aid progression Employment Type: Full Time, Permanent
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