2018 UK Risk Analyst Opportunities
Looking for a talented candidate to join our Risk Analyst Programme starting in August 2018. Our Risk Management function is trusted to identify, measure, control, mitigate, monitor and report on any risk exposures to our international business. This can range from Credit Risk and Market Risk to Enterprise Risk and Operational Risk. Managing risk effectively is critical to our success and to do this well, we need our Analysts to develop a broad understanding of our business and our processes. Through dedicated training, rotations and on the job learning, you will become a subject matter expert in your field.
Who We Are
We are MUFG. With over 350 years of heritage and more than 150,000 employees in 50 countries, we’ve grown to become one of the top five banks in the world. Our services include commercial banking, trust banking, securities, credit cards, consumer finance, asset management, and leasing.
We offer stability in an ever-changing market and provide services to high-profile clients across the globe. You can help us go further. We’re looking for ambitious, driven individuals to join our team, and help us to become the world’s most trusted financial group.
Global possibilities with an approachable and inclusive culture: it truly is a better balance in banking.
What to Expect
We are looking for talented candidates to join our Risk Analyst Programme. This is a fantastic opportunity to start your career in Banking.
You will be joining the Market Risk department which consists of three teams, i.e. Market Risk, Liquidity Risk and Prudential / Capital Risk. These teams have daily interaction with the Front Office to review and challenge trading positions, risk concentrations, vanilla and exotic trades and portfolios. Additionally, you will have exposure to and make use of commonly used risk metrics like Value-at-Risk, Expected Shortfall, sensitivities (delta, vega and higher order risks), market and liquidity stress testing, LCR, NSFR, Return on Capital / Equity, Capital Ratios etc. You will get involved in firm-wide projects to deliver internal as well as regulatory change that impact the Risk function, e.g. Brexit or FRTB related projects. In order to complement your knowledge gained in the Market Risk department, you will have an opportunity to rotate through other Risk departments like Credit Risk and Operational Risk Management.
Working within Risk will provide you with the opportunity to work with employees from across the organisation including working closely with the Front Office Traders, Product Controllers & other Risk Specialists to name a few.
You will be given real responsibilities and a real job to do. This is so that you get a good understanding of the role, the department and how it fits into the wider organisation. You will also be provided with:
- tailored training programmes
- early exposure and responsibility
- On-going mentoring & networking opportunities
- the opportunity to make valuable contributions from your very first day
We’re highly team-driven, but you’ll still find plenty of opportunity to shine as an individual. In our open and inclusive environment, senior colleagues will know who you are and will be happy to help with support when you need it. And you’ll enjoy an ongoing commitment to your development as you build a lasting and rewarding career with us.
Join Our Team
We look for talented, motivated and ambitious people who will be able to help drive our business forward.
Successful candidates will:
- Have recently completed their studies or be in their final year of study
- Have obtained a minimum 2:1, or be in line for a minimum 2:1 (or equivalent) at undergraduate level
- Have excellent communication and numerical skills
- Have high levels of motivation and integrity
- Have a true interest in Financial Services
- Be innovative and have the ability to generate new and creative ideas
- Excellent attention to detail
For more information about our opportunities, and how to apply please go to www.muscampus.com