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Graduate Trainee - Risk Management (Global Market Risk)

Fresher
Early Applicant
  • Posted a month ago
  • Be among the first 10 applicants

Job Description

If you are looking to excel and make a difference, take a closer look at us…

Unleash Your Potential in Traded Risk Management: Global Markets Risk Graduate Trainee Program

Are you a highly analytical and ambitious fresh graduate eager to dive headfirst into the dynamic world of global financial markets Our 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.

This isn't just a program it's an immersive journey designed to give you accelerated, all-access exposure across the critical pillars of Global Markets Risk. Forget specializing in just one area - you'll gain hands-on experience and deep insights across Market Risk Control & Analytics, Credit Counterparty Risk, and Market Conduct Risk Surveillance.

What Awaits You:

  • 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 of Hong Leong Banking Group.

  • 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.

  • 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.

This program is for those who aspire to shape the future of finance, bringing sharp analytical skills and a proactive mindset to the forefront of risk mitigation.

We're Looking For:

  • Malaysian citizen.

  • Fresh graduates with a CGPA of 3.2 or 2nd Class Upper in Finance, Actuarial Science, Mathematics, Banking, or Statistics.

  • Candidates with less than 1 year of full-time working experience.

More Info

About Company

Job ID: 118096729