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2024 Graduate - Risk, Treasury & Finance Analyst

💼 Graduate Job

London

AI generated summary

  • You need a strong academic background, quantitative skills, and an interest in finance. Attention to detail, motivation, and ability to build relationships are key. Financial experience is a plus. Join us as a Risk, Treasury & Finance Analyst at Cantor Fitzgerald.
  • You will assess credit risk, monitor market risk, evaluate operational risk, assist with financial reporting, and manage liquidity for Cantor Fitzgerald.

Graduate Job

Banking & FinanceLondon

Description

This position will commence in early 2024 and will consist of a 24-month rotational programme. Analysts participate in four rotations, where they will work with professionals who manage the following functions: 

  1. Credit & Market Risk 
  2. Enterprise Risk 
  3. Treasury 
  4. Finance 

In addition to building their skills, analysts will also have the opportunity to gain exposure to various other areas of the firm through daily interaction with other departments.

Requirements

  • Analyst will have the opportunity to complete the CISI Capital Markets qualification: Securities,
  • Regulations and Derivatives.
  • Complete the Certificate in Treasury Fundamentals
  • Attend a bookkeeping course to provide an overview of balance sheets and financial statements and the
  • process that underpins this.
  • Attributes:
  • A strong academic profile in business-oriented programs.
  • Robust quantitative and communication skills.
  • Financial industry experience is a plus.
  • An interest in financial services and Risk, Treasury and Finance.
  • Ability to build relationships with employees of all levels.
  • Good attention to detail.
  • Motivation and drive to succeed in a fast-paced environment

Education requirements

Bachelors

Area of Responsibilities

Banking & Finance

Responsibilities

  • Assessing the creditworthiness of counterparties, evaluating industries and product types, conducting due diligence and determine trading limits.
  • Reviewing daily activity and analysis of market risk profiles across the firm. In addition, analysts will help run exposure and stress testing models.
  • Identifying and measuring operational risk across the various Cantor & BGC business and recommending appropriate mitigating actions.
  • Supporting the Chief Financial Officer’s team with financial reporting, month end financial activities, regulatory reviews and strategic business decisions.
  • Assisting with liquidity management, cash capital monitoring and Cantor’s interactions with external rating agencies and funding providers.

Details

Work type

Full time

Work mode

office

Location

London