Finance & Risk Management Analyst Programme: Graduate scheme
Our programme provides graduates with the opportunity to hone their skills through a series of rotations, allowing for the constant development of commercial awareness. We aim to educate you in four separate areas of our Finance and Risk Management division in order to assist you in understanding the inner workings of the company, and to highlight the career opportunities that we provide.
Projects form a central basis of the programme, particularly focusing upon market analysis and researching new initiatives. Graduates will be expected to display a strong aptitude for getting others on board with their ideas and presenting with clarity. Some e-learning will be required, hence an understanding of computerised systems may provide an advantage; however, this is not essential. Some previous experience in capital markets would also be beneficial, but candidates with strong, relevant academic backgrounds will also be considered.