Senior Portfolio Manager

2 weeks ago


London, Greater London, United Kingdom 0840 Deutsche Bank Aktiengesellschaft, Filiale London Full time

**Overview of Deutsche Bank in the UK**

We are part of 0840 Deutsche Bank Aktiengesellschaft, Filiale London, one of the leading German banks with strong European roots and a global network.

Deutsche Bank in the UK is proud to have been named a Top Employer for three consecutive years. Additionally, we have been awarded a Silver Award from Stonewall for two years running and named in their Best Places to Work list for our work supporting LGBTQ+ inclusion.

We 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 (for example screen readers, assistive hearing devices, adapted keyboards)

**Salary Information**

The estimated annual salary for this role is £120,000-£180,000 depending on your experience, qualifications and performance.

**Job Description**

You will be responsible for implementing and managing funding costs and capital efficiency programs across Corporate Bank & Private Bank business, as well as reporting of client profitability matrices.

The role also requires providing expertise in quantitative analytics, modelling, pricing, and management of loan and mortgage portfolios to business desks, and to drive alignment across Front Office, Credit Risk Management, and Finance for financial resource calculations.

You will work closely with senior stakeholders to design incentive structures for businesses around financial resource consumption, allocation, and capital optimisation.

In addition, you will support in building and calibrating credit risk capital models using historical default and recovery data, and provide trading desks expertise in quantitative analytics, modelling, pricing, and management of loan and mortgage portfolios.

**Required Skills and Qualifications**

  • Excellent quantitative and analytical skills
  • Good computing and programming skills, including C++ and Python experience
  • Familiarity with funding or banking businesses and markets
  • Experience with interest rate risk or credit risk modelling
  • Experience with managing capital efficiency
  • Excellent interpersonal skills with the ability to collaborate with partnering teams

**Benefits**

  • Flexible working to assist you balance your personal priorities
  • 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

**How We'll Support You**

  • We promote good working relationships and encourage high standards of conduct and work performance.


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