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2027 Risk Management Group Graduate Programme

Macquarie Group Dublin, Irland
Gepostet vor 1 Tag Festanstellung Competitive

2027 Risk Management Group Graduate Programme

Macquarie Group Dublin, Irland
Help Macquarie make informed decisions by managing the risks of today and anticipating the risks of tomorrow. As a graduate in our Risk Management Group, you'll contribute to meaningful work across an independent risk function that provides objective review and challenge, oversight, monitoring and reporting on Macquarie's material risks. You'll build your judgment, technical skills and commercial understanding as you turn complex information into clear insights that support the business.

We are a global financial services group operating in 30 markets with 57 years of unbroken profitability. At Macquarie, you're empowered to shape a career that is fulfilling and creates value. You will bring your insights and expertise to the task at hand and feel supported as you make your own kind of impact for a better future.

What role will you play?

As a graduate in the Risk Management Group, you'll join Macquarie's independent risk function and begin building the judgment, technical skills and commercial understanding to help teams identify , assess, monitor and manage material risks across a global financial services business. From the outset, you'll take ownership of meaningful work, contribute to objective review and challenge, and develop your ability to turn complex information into clear insights and recommendations.

Depending on your placement, you may join one of the following areas:
  • Credit Risk monitors and manages risks arising from lending, financing and trading activities. You could analy s e counterparties, financial statements, transaction structures and industry trends, support credit assessments and approvals, and monitor exposures and portfolio concentrations. You will also work closely with business stakeholders to understand complex transaction structures and associated risks. Opportunities are available in Dublin, Ireland.
  • Market Risk works directly with traders and business stakeholders to understand, measure and oversee risks across global financial and commodity markets. You could monitor exposures, review positions and strategies, apply quantitative risk measures and stress testing, and help establish risk limits for new products and activities.
  • Model Risk helps ensure the integrity of key financial models used across Macquarie. You could build mathematical models, challenge and assess model methodologies, conduct independent research and communicate findings with colleagues.
Depending on your individual role, you could be:
  • monitoring, analyzing and explaining risk exposures arising from trading, lending and financing activities
  • reviewing financial statements, business models, positions, strategies and market or industry trends to identify key risk drivers
  • supporting credit assessments, model reviews, stress testing, scenario analysis and risk recommendations
  • working with business, trading, legal, operations and risk teams to understand transactions and provide independent review and challenge
  • helping enhance risk frameworks, policies, limits, reporting tools and regulatory or governance processes
During this twelve-month programme, you'll be encouraged to examine problems from every angle, challenge the status quo and come up with new and innovative ways of progressing our business while being supported by an inclusiveteam.

As a graduate, you will:
  • Take part in an orientation to learn about Macquarie business groups, with your fellow analysts and expand your professional network .
  • Receive formal training, including financial modelling and presentation skills, but at its core the program provides practical on-the-job learning to further your career. If you have ideas that have merit, we'll give you the opportunity to develop and test them to create new possibilities .
  • Build strong connections and work collaboratively while also partnering directly with our business leaders on meaningful and challenging work .
  • Receive support from your manager and aligned mentor as you gain genuine insight into our industry .
  • Be encouraged to give back through theMacquarie Group Foundationwhich provides support to hundreds of community organisations each year through financial support, volunteering and skills sharing.
What you offer

You have a unique perspective. We want to hear it. We welcome applications from final - year undergraduate and master's degree students who will graduate in January to July 2027.
  • We welcome students from a broad range of degree disciplines. Some placements may be best suited to those studying Mathematics, Philosophy Politics and Economics, F inance, A ccounting, E ngineering or P hysics, with certain Model Risk roles requiring a relevant master's degree.
  • You are curious and analytical, with strong problem-solving skills and the ability to assess complex information and draw balanced conclusions.
  • You have an interest in financial markets, businesses, regulation and risk, and are confident working with numerical information, financial statements, data or complex regulatory requirements.
  • You can communicate complex concepts clearly, collaborate effectively and build strong working relationships.
  • You are proactive, attentive to detail and able to manage competing priorities while delivering accurate , high-quality work. An interest in data analytics, technology or AI tools would be beneficial, and you would be comfortable using data and technology tools to enhance risk monitoring, reporting and decision making.
We love hearing from anyone inspired to build a better future with us, if you're excited about the role or working at Macquarie we encourage you to apply.

Inclusion at Macquarie

We are committed to providing an inclusive environment for all, where different experiences, skills and perspectives are valued and respected. Macquarie provides access to opportunities for all individuals regardless of their identity, including age, disability, neurodiversity, gender (including gender identity or expression), sexual orientation, marriage or civil partnership, pregnancy, parental status, race (including ethnic or national origin), religion or belief, or socio-economic background.
We provide reasonable adjustments to individuals who may need support during the recruitment process and employment. If you require an adjustment, please let us know during the application process.

Job ID  23797
ÜBER DAS UNTERNEHMEN
London, United Kingdom
19700 Angestellte Asset Management

A career at Macquarie means you’ll have the opportunity to develop and utilise new skills, explore interesting fields and do challenging work that will impact the lives of people around the world—whether it’s accelerating the green energy transition, helping sustain global food supplies, financing social housing projects or investing in essential infrastructure. At Macquarie, we’re empowering people to innovate and invest for a better future.

Our size and international presence means your work can take you anywhere—across business groups, disciplines, sectors and borders. With employees and offices in 31 markets around the world, we’re a truly global organisation.

You’ll be supported by a diverse team where the unique perspectives, ideas and experiences that all of our people bring are valued. You’ll be empowered to address unmet needs in our communities whilst advising and investing alongside our clients and partners. Working with us, you’ll have the opportunity to make a difference.

Macquarie is a global financial group providing clients with asset management, retail and business banking, wealth management, leasing and asset financing, market access, commodity trading, renewables development, specialist advisory, capital raising and principal investment.

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