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2025 Risk, Treasury & Finance Graduate Programme

Cantor Fitzgerald Securities

London

On-site

GBP 25,000 - 35,000

Full time

7 days ago
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Job summary

An established industry player is seeking motivated graduates for their Risk, Treasury & Finance Graduate Programme. This role offers a unique opportunity to engage in assessing creditworthiness, analyzing market risk profiles, and supporting financial reporting. Candidates will also assist in liquidity management and interact with external rating agencies. Ideal applicants will possess strong quantitative and communication skills, a keen interest in financial services, and a drive to succeed in a fast-paced environment. Join a dynamic team and kickstart your career in finance with comprehensive training and development opportunities.

Qualifications

  • Strong academic profile in business-oriented programs is essential.
  • Financial industry experience is a plus.

Responsibilities

  • Assess creditworthiness and evaluate industries and product types.
  • Support financial reporting and strategic business decisions.

Skills

Quantitative Skills
Communication Skills
Attention to Detail
Relationship Building

Education

Business-Oriented Degree
CISI Capital Markets Qualification
Certificate in Treasury Fundamentals

Job description

2025 Risk, Treasury & Finance Graduate Programme
  • 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.
Responsibilities

Responsibilities include:
  • 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.
Qualifications:
  • 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.
  • Strong communication skills
  • Ability to build relationships with various stakeholders
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