Global Emerging Markets; GEM & Eastern Europe, Middle East, and ; CEEMEA Flow R
Listed on 2026-06-15
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Finance & Banking
Financial Consultant, Risk Manager/Analyst, Financial Analyst, Banking & Finance
Location: City Of London
Global Emerging Markets (GEM) Central & Eastern Europe, Middle East, and Africa (CEEMEA) Flow Rates Trader (Vice President Trader) – London
Trader is responsible for executing trades and/or providing advisory market content, as appropriate, in their relevant product/sector/market, in line with the Function’s trading strategies. You will adhere to all internal policies and external/regulatory frameworks, recording transactions and at times preparing related statistical reports, developing and maintaining relationships with brokers. Maintaining a good knowledge of trading strategies to be measured against the relevant performance targets set by the division.
Benefits- Competitive salary and non‑contributory pension
- 30 days’ holiday plus bank holidays, with the option to purchase additional days
- Life Assurance and Private Healthcare for you and your family
- A range of flexible benefits including Retail Discounts, a Bike4
Work scheme and Gym benefits - The opportunity to support a wide ranging CSR programme + 2 days’ volunteering leave per year
- Managing product flows along with pricing and risk management / portfolio optimisation
- Providing liquidity to Deutsche Bank Clients who range from financial institutions to corporates
- Responsible for execution, trade capture and profit & loss (PNL) sign‑off for the trading books
- Being aware and monitoring all rate volatility markets and identifying opportunities between different markets plus ability to develop hedging strategies
- Sales engagement – working closely with sales to grow the franchise across corporate and financial institutions
- Liaise with various internal control functions (Legal, Compliance, Credit and Business Management) to manage the trade through its life cycle
- Previous experience in Flow Rates trading and market making business
- Strong quantitative skills (preferably in econometrics) and product knowledge
- Deep knowledge of CEEMEA Local Markets including an understanding of onshore and offshore dynamics
- Deep understanding of debt capital/bond / credit markets, credit environment and comfortable pricing a variety of instruments, including government bonds, interest swaps, cross‑currency swaps, Forward Rate Agreements (FRAs)
- Very strong money management skills
- Liquidity provider / Market maker profile
- Driven to provide very competitive liquidity to client base
- Understanding of regulations across various countries will be desirable
- An understanding and proficiency managing risk in trading books – interest rate risk, Libor and cross‑currency (XCCY) basis risk
- Experience in revenue generation, sustaining/ generating high quality market share and in management skill
- Ability to understand and interpret market trends and identify, communicate, and market trade ideas
Training and development to help you excel in your career
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
Equal Opportunities & AccessibilityWe value diversity and as an equal opportunities’ employer, we make reasonable adjustments for those with a disability such as the provision of assistive equipment if required (e.g. screen readers, assistive hearing devices, adapted keyboards).
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