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Macquarie Group is offering a 12-month Commodities and Global Markets Graduate Programme in Indonesia. You will learn from experts across the business, including geologists, meteorologists, engineers, data scientists, and traders.
The program includes formal training, financial modelling, and on-the-job experience, with opportunities to test ideas and contribute to real projects. As a graduate, you will rotate through groups such as Quant Strategy and Post Trade Data, building a broad skillset
you’llbuild yourexpertisethrough hands-o... You’lllearn from experts across the business, including geologists, meteorologists, petroleum and mining engineers, data scientists, quant strategists,tradersand advisers.
Quant Strategy, where you could helpmaintainand develop quantitative platforms and implement quantitative methods.
Quantitative Investment Strategies Marketing, where you could support strategy development and explanation, client mapping,marketingand outreach.
Business Operational Risk Management, where you could investigate incidents, support remediation and help assess the effectiveness of business controls.
Quantitative Investment Solutions Structuring, where you could apply creative problem-solving to quantitative models,systemsand solutions for institutional clients.
Non-Financial Regulatory Reporting, where you could analyse transaction reporting data, investigate reporting issues and support regulatory, process and technology change.
Post Trade Data, where you could support data governance, reporting and controls, develop solutions using SQL and Python, and partner with technology, front office and risk teams to improve data quality.
Credit
Post Trade Data, where you could support data governance, reporting and controls, develop solutions using SQL and Python, and partner with technology, front office and risk teams to improve data quality.
CreditCredit Capital and Liquidity
, where you could analyse portfolio capital and funding usage, assess trade structures and support senior management in managing derivative portfolios.
packaging quantitative investment strategies for institutional clients
building andmaintainingquantitative platforms
investigating incidents and supporting remediation activities
supporting transaction reporting under key financial markets regulations, including EMIR,MiFIDand SFTR
analysing capital and funding usage across portfolios
During this twelve-month programme,you’llbe encouraged to examine problems from every angle, challenge thestatus quoandcome up withnew and innovative ways of progressing our business while being supported by an inclusiveteam.
As a graduate, you will: