Unlocking Traded Risk Management Potential
This program is designed for highly analytical and ambitious fresh graduates eager to dive headfirst into the dynamic world of global financial markets. The 12-month Global Markets Risk Graduate Trainee (GT) Program offers an unparalleled opportunity to fast-track your career and become a future-proof expert in traded risk management.
The immersive journey is designed to give you accelerated, all-access exposure across the critical pillars of Global Markets Risk. You'll gain hands-on experience and deep insights across Market Risk Control & Analytics, Credit Counterparty Risk, and Market Conduct Risk Surveillance.
The program includes:
* Holistic Immersion: Develop a comprehensive understanding of financial product nuances, risk-taking activities, and the intricate balance of daily and intraday limits across diverse financial entities.
* Cutting-Edge Analytics: Master technical risk metrics like Value-at-Risk (VaR), participate in market data reviews, and grasp how market risk stress tests and backtesting fortify our financial resilience.
* Strategic Insights: Analyze counterparty credit quality, engage in crucial credit stress tests, and communicate with stakeholders to assess risk proactively before market engagement.
* Market Integrity Guardian: Learn to detect and investigate market misconduct and fraud, contribute to key risk indicator surveillance, and understand the vital role of ethical conduct in treasury product pricing and valuation.
Achieve Accelerated Growth: Benefit from dedicated coaching, mentorship from experienced line managers, and hands-on experience that will equip you with the knowledge and skills to excel as a Global Markets Risk professional.
We're looking for fresh graduates with a strong academic background in Finance, Actuarial Science, Mathematics, Banking, or Statistics. Candidates with less than 1 year of full-time working experience are also encouraged to apply.