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Risk Specialist (m/f) - Market Risk Analysis & Control - Corporate Bank
Position Overview Description of field of activity Market & Valuation Risk Management & Risk Methodology owns the market risk management framework with mandate to identify, analyse, measure, control and manage all market risks within DB, whether in trading book, banking book or off balance sheet and ensuring they are pursuant to the risk appetite of the bank The primary objective of MVRM is to ensure that Business units of the Bank optimise the risk-reward relationship and do not expose it to unacceptable losses. This objective drives all of the activities conducted within MVRM and we work closely with risk takers, risk managers and Control and Support groups in the process to ensure these objectives can be met. The Market Risk Analysis
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