Commerzbank has been present in the Czech Republic with a branch in Prague since 1992. Decades of experience have allowed Commerzbank to gain a true insight into the Czech market, with all its particularities and rules. This in-depth knowledge, combined with our financial expertise, allows us to provide extensive services to both German companies, with presence in the Czech Republic, and international companies with activities in Germany. Furthermore we also look after local companies who do local business in the Czech Republic. We are your strategic partner for international and local business

Market Risk (P&L) Specialist


• To ensure accurate reporting and analysis of the trading activity. A key element of this is the requirement to independently verify the daily P&L result and to ensure that the result is submitted on a timely basis along with explanations of unusual movements

• Implicit in this deliverable is the requirement to liaise with colleagues in the Market Risk and Finance departments to ensure a high level of control is retained at all times

• To be the key contact for the designated business segment. To be the first person the Front Office trader goes to if they have an operational query. To perform the same role for requests raised by other teams within Market Risk and other functions. To ensure communication is frequent, effective and includes a willingness to take responsibility for dealing with issues that are outside the norm

• To work within the wider team in Prague, London and Frankfurt to deliver on ad hoc deliverables. To build strong cross-locational relationships and to be willing to exchange ideas as to how to increase the effectiveness of the overall team whilst maintaining a high standard of control and accuracy

• To maintain product, system and process documentation which is informative and up-to-date

• To be proactive in developing a positive team culture, and also build strong relationships with other Prague teams (in particular Finance and IPV), looking for ways to improve individual skillsets and collective processes


• Proficient in spoken and written English

• Trading, banking and/or quantitative background

• Experience of traded debt products (bonds and derivatives) with knowledge of the valuation of those products

• Keen to learn and prepared to take on new responsibilities, not afraid to back their individual judgement and prepared to take ownership of the results

• Good communicator and a team player. Someone who can work individually or with others to deliver on a key target within a challenging timeline

• Able to appreciate the challenges involved in the control and reporting of multi-instrument portfolios which may include some cross-entity structures

• Able to learn the complexities of a systems architecture in which data is taken from both front office and back office systems in an attempt to maximize data quality and the efficiency and accuracy of core reporting

We offer:

• Challenging job in a large, German based bank

• Possibility to work internationally

• Competitive salary

• Well located office in the center of Prague

• Immediate start possible

• Nice set of benefits - e.g. 30 days of holidays, 30 days paid sick leave, Multisportcard etc.

Informace o pozici

COMMERZBANK Aktiengesellschaft, pobočka Praha
Jugoslávská 934/1, Praha – Vinohrady
Required education: Bachelor's
Required languages: English (Advanced)
Benefits: Flexible start/end of working hours, Holidays 5 weeks, Sick days, Corporate events, Self-organization of the job, Individual budget for personal growth
Listed in: Administration, Banking industry and financial services, Economics and Business Finance, Financial analyst, Financial Controller, Financial adviser, Banking specialist
Employment form
Employment form: Full-time work
Contract duration
Contract duration: Permanent
Employment contract
Employment contract: employment contract
Employer type: Employer

COMMERZBANK Aktiengesellschaft, pobočka Praha, Jessica Dlouhý