
Treasury Markets and Investments
15 hours ago
Role Description
You will be a member of Deal Management Team and actively contributing to the management of Securitization Products of the Bank- Covered Bonds and Asset Backed Securities. The team is primarily based in Frankfurt. The role requires basic understanding of Securitization, capital markets and financial instruments.
Treasury Overview
Treasury at Deutsche Bank is responsible for the sourcing, management and optimization of liquidity and capital to deliver high value risk management decisions. This is underpinned by a best-in-class integrated and consistent Treasury risk framework, which enables Treasury to clearly identify the Banks resource demands, transparently set incentives by allocating resource costs to businesses and manage to the evolving regulation. Treasurys fiduciary mandate, which encompasses the Banks funding pools, Asset and liability management (ALM) and fiduciary buffer management, supports businesses in delivering on their strategic targets at global and local level. Further Treasury manages the optimization of all financial resources through all lenses to implement the groups strategic objective and maximize long term return on average tangible shareholders equity (RoTE).
The current role is part of Treasury Office in DBC Mumbai. The role requires interactions with all key hubs i.e., London, New York, Frankfurt, and Singapore.
Function Description:
The Treasury Securitization function plays a key role in helping Treasury to achieve its overall objectives to protect and commercially steer the firms financial resources to enable execution of the Banks strategy in all environments.
The Securitization team, together with its sister team Issuance, is part of Treasury Markets & Investments. Issuance & Securitization are responsible for the mid and long-term capital markets funding of the Bank. Based on a collateral and funding plan prepared by Issuance & Securitization, which defines the capacities for secured issuances, our team structures, arranges, implements and manages secured portfolio based refinancing transactions for the Bank. Our products are covered transactions, such as Covered Bonds/German Pfandbriefe and Asset-backed Securities/Securitizations which are secured or backed by loan portfolios of the Bank.
Your key responsibilities
- Support for management of the Banks Securitization products- Wendelstein (ABS) Securitization, Alpspitze Structured Covered Bond Program, Eurohome Securitization Sub-Servicer.
- Liaising closely with securitization team and understanding the trade structures.
- Participation in RTB line function activities like e.g., daily reconciliation, internal account management, cost processing etc.
- Participation in establishment of closure of self-identified issue for Deal Management.
- Participation in Accounts Management with active capturing of cash inflows and outflows- interest and principal payments, fees etc.
- Participation in generation of investor reports and ensure timely signoffs by relevant teams before publishing.
- Timely generation of Securitization reports using internal applications
- Support Efficiency Automation of redundant processes.
Your skills and experience
- Bachelor or Master level University education, ideally in Finance/Accounting.
- Competence in general Business Administration topics.
- Strong written, verbal communication and presentation skills.
- Ability to interface with demanding stakeholders in business, IT and infrastructure functions.
- Ability to manage and coordinate activities to tight deadlines across different teams and time zones.
- Demonstrated ability to work independently, also to perform activities with high quality standard to correctness and reliability.
- Knowledge of German language would be a plus point.
- Experience with scripting language like VBA, Python etc
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