Chief Risk Office – Market Risk Manager (Metals) – VP
Deutsche Bank AG•Singapore
Full-timeExecutive
$2k - $4k
per year
👁️ 0 views•📝 0 applications•Posted 7/26/2026•Expires 8/25/2026
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Job Description
Job Overview
You will join Deutsche Bank’s Market Risk Management team as a Market Risk Manager covering global Metals trading activities. In this role, you will work collaboratively with traders, risk partners and control teams to provide thoughtful, structured market risk oversight that supports sustainable business growth. You will contribute to an inclusive, supportive risk community that values trust, transparency and shared understanding, while helping to shape robust risk frameworks across complex commodities portfolios. Together, you will balance risk, reward and capital in a way that enables responsible decision-making and long‑term value.
Benefits
• Flexible benefits plan including virtual doctor consultation services
• Comprehensive leave benefits
• Gender Neutral Parental Leave
• Hybrid working arrangement
• 25 days of annual paid leave, plus public holidays
• A culture of continuous learning to aid progression Responsibilities
• Support Metals build‑out, both globally and particularly in the APAC region, by engaging stakeholders, including Front Office trading and Strats teams, to ensure we have capabilities to effectively risk‑manage new products.
• Partner cooperatively with Front Office trading teams to review exposures, valuations, new products and market activity, sharing clear insights and supporting sound judgment within agreed risk appetite.
• Provide inclusive market risk oversight across the Metals business, highlighting emerging risks, stress vulnerabilities and concentration themes with care and clarity.
• Oversee daily monitoring of exposures against limits, escalating matters in a considered and supportive way where needed.
• Coordinate with Valuation Risk, Market Risk Analysis and Control, and Risk Methodology Strategy teams to ensure consistent, dependable risk metrics, stress testing and reporting frameworks.
• Support the development, maintenance and understanding of effective control infrastructure, valuation processes and risk methodologies, including change programs to achieve such outcomes.
• Contribute to a positive risk culture built on trust, openness and shared responsibility. Skills and Experience
• Minimum 8 years of experience in market risk management within an investment banking, global financial markets, commodities trading, or comparable financial services environment.
• Minimum 5 years of experience covering commodity markets, including metals products, market risk assessment, and physical logistics or supply chain considerations.
• Experience analysing the impact of financial and economic events on market behaviour and risk positions through scenario analysis and risk assessment.
• Experience working with derivatives across flow and structured products in a regulated environment.
• Ability to communicate complex risk concepts clearly, empathetically and responsibly across diverse stakeholder groups.
• Commitment to high standards of integrity, dependable conduct and collaborative working. Equal Employment Opportunity
We welcome applications from all people and promote a positive, fair and inclusive work environment.
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Required Skills
DerivativesFront Office ManagementInvestment BankingLogisticsLogistics ManagementMarket RiskRisk ManagementStakeholder ManagementSupply ChainSupply Chain ManagementValuation