Graduate Analyst Program 2026, Credit Risk/Market

4 days ago


Singapore Mizuho Full time $60,000 - $120,000 per year

Why Mizuho

Within the Pan Asia entities of Mizuho Securities, our greatest asset is our people, and we are committed to promoting a vibrant and supportive environment full of opportunities. Just like our global client and customer base, our people come from diverse backgrounds and our success is supported by our creativity, teamwork, and collective abilities as individuals to exceed the dynamic needs of our customers.

We provide the stability of an international industry leader with the career trajectory of a growing business. Our strategic growth gives our people at all levels rewarding degrees of responsibility and a richer work experience than a boutique firm or an established giant could offer alone. With a focus on growing and expanding our platform across Asia, we are committed to attracting, hiring, retaining, and rewarding the best-in-class talent.

Job Description

We are seeking a motivated graduate analyst to join our Risk Management team with the Credit Risk or the Market & Liquidity Risk function based in Singapore. As part of a collaborative Pan-Asia team, you will gain experience in financial risk management and develop a strong understanding of financial markets.

This role allows you to gain exposure across risk disciplines through short-term projects. You will contribute to our risk infrastructure and process enhancements, providing support in risk assessments and building valuable knowledge and expertise through the process.

Responsibilities

  • Learn holistic risk management framework for financial risk management across market risk, liquidity risk, credit risk.

  • Assist in identifying and assessing risks associated with the organization's financial activities.

  • Follow financial markets news, conduct stress tests and scenario analysis for market or geopolitical stress events and assess potential impact on our organization's portfolios and financial positions.

  • Communicate and present risk analysis, findings and recommendations to various stakeholders.

  • Participate in projects aimed at enhancing our risk systems and processes.

  • Collaborate with other stakeholders in other risk disciplines, control functions and trading desks in risk related initiatives.

Role Prerequisites

  • Expected graduation date of December 2025 – June 2026 from a degree qualification in Finance, Economics, Mathematics, Engineering or related field. This position is expected to commence in June 2026.

  • Strong analytical and quantitative skills with proficiency in statistical analysis and risk modeling techniques.

  • Proficiency in Excel, financial modeling and programming languages such as Python and SQL.

  • Excellent communication and interpersonal skills with the ability to effectively convey complex concepts to different stakeholders.

  • Eager to learn and able to work both independently and collaboratively within a team in a fast-paced environment.

  • High attention to detail and an open and proactive mindset.

  • Eligibility to work in Singapore.


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