Job Description: Deutsche Bank’s Global Emerging Markets business covers a comprehensive Emerging Markets product suite of Foreign Exchange, Rate and Credit from vanilla to complex products. It provides access to onshore and offshore markets via direct or electronic channels, as well as synthetic formats. In addition, it also provides financing solutions spanning capital markets, loans and asset-backed financing, from investment grade to distressed. Within this role, you will work with Deutsche Bank’s wide client base, spanning the entire spectrum including sovereigns, quasi-sovereigns as well as global / local institutional and corporate clients. Job Responsibilities: Providing liquidity to Deutsche Bank Clients who range from financial institutions to corporates Exploring overall platform enhancements Monitoring all rate volatility markets and identifying opportunities between different markets plus ability to develop hedging strategies Executing, trade capture and Profit and Loss signoff for the trading books Managing product flows along with pricing and risk management / portfolio optimisation Job Requirements: An understanding and proficiency managing risk in trading books - interest rate risk, libor and cross currency (xccy) basis risk Proven money management skills, liquidity provider / Market maker profile and driven to provide very competitive liquidity to client base Deep knowledge of Central and Eastern Europe Middle East and Africa Local Markets including an understanding of onshore and offshore dynamics A deep understanding of debt capital/bond / credit markets, credit environment and comfortable pricing a variety of instruments, including interest swaps, cross-currency swaps, Forward Rate Agreements Understanding of regulations across various countries will be desirable Job Details: Company: Deutsche Bank Vacancy Type: Full Time Job Location: Bristol, GB Application Deadline: N/A Apply Here careers-trivia.com