Job Description Our client is a dynamic Investment Bank based in Frankfurt, specialising in Investment Banking, Equities, and Fixed Income sales and trading. Authorised by BaFin, it operates within a global financial group, combining strong regulatory oversight with an agile, high-performance culture. The Market Risk team plays a key role in managing risk strategy, working closely with senior leaders and traders to navigate complex financial markets. Market Risk Manager – Investment Banking Frankfurt Your responsibilities: Oversee and manage retained risk in the entity, primarily in Fixed Income portfolios, ensuring risks are identified, understood, captured, reported, and managed within risk appetite. Collaborate with Trading to analyse and challenge positions, providing insight into market developments, risks, and P&L. Develop and refine market risk control frameworks, including risk appetite, stress testing, and scenario analysis. Conduct deep-dive analyses on products, trading, and hedging strategies to enhance risk frameworks for new products. Support liquidity risk management, including monitoring daily limits and working closely with Treasury on liquidity stress testing. Prepare and present risk governance reports, escalating material issues to senior management and relevant oversight committees. Work closely with internal stakeholders across all levels, including Treasury, Risk Controllers, and Global Risk teams. Support new business initiatives by assessing market and liquidity risks for new products and transactions. Maintain an external professional network to stay informed of industry developments and best practices. Your profile: 5 to 7 years of experience as a Market Risk Manager in a financial institution. Degree in a quantitative or finance-related discipline, with strong analytical skills. Strong knowledge of Fixed Income and credit products, with experience working closely with traders and analysts. Familiarity with European banking risk regulations such as MaRisk, IFR/IFP, ICAAP, ILAAP, or CRR equivalents. Deep understanding of risk management and control standards, with hands-on experience in market risk oversight. Strong quantitative skills; coding experience is a plus. Excellent written and verbal communication skills, with the ability to engage and influence senior management. Self-motivated with a proactive approach, analytical mindset, and ability to improve business processes. Fluent in German and English. Could this be the right opportunity for you? Please do not hesitate to send your CV to David Kitzinger at david.kitzingerandersonwise.com to be considered for this recruitment process. Your application will be treated with the utmost discretion. When using our services, our clients require that we introduce candidates already in possession of a valid Luxembourg work permit. If this is not your case, we regret to inform you we will not be able to consider your application. We take your privacy as our utmost concern, and we manage your data with highest degree of confidentiality. Before applying to any of our opportunities, we invite you to read our privacy policy, available on our website. We are an equal opportunity employer and welcome candidates from all backgrounds to apply