Global Risk Summer Analyst Program
What you'll do
Global Risk Management is responsible for protecting the bank through independent and objective oversight of risk. We effectively manage risk and reward for each of the banks major lines of business.
This experience is designed to support you to develop a solid understanding of the core roles and responsibilities of within Market Risk, while developing a broad range of skills that are applicable throughout the bank.
Throughout the 10 week program within Market Risk you will have the opportunity to gain exposure to products traded including: credit products, interest rates, foreign exchange, equities and commodities, together, with a wide range of derivative products.
Your responsibilities may include:
- Managing the bank's market risk exposures arising from its trading operations
- Supporting lines of business to establish risk management policies, limits, standards, controls, metrics and thresholds within corporate standards
- Working on value at risk, stress and other risk metrics use in management of the trading business with qualitative and quantitative risk assessments
- Gaining real in-depth experience applying quantitative knowledge to specific financial challenges