Graduate Analyst Program 2026, Credit Risk/Market & Liquidity Risk Management
Mizuho Financial(4 months ago)
About this role
A Graduate Analyst at Mizuho Securities joining the Pan-Asia Risk Management team in Singapore, focusing on Credit Risk or Market & Liquidity Risk. This entry-level role offers exposure across risk disciplines and the opportunity to develop a strong understanding of financial markets and risk management. The position is structured as short-term project rotations to build foundational experience and domain knowledge.
Required Skills
- Analytical
- Quantitative Analysis
- Statistical Analysis
- Risk Modeling
- Excel
- Financial Modeling
- Python
- SQL
- Communication
- Teamwork
+3 more
Qualifications
- Degree in Finance, Economics, Mathematics or Engineering
- Expected Graduation Dec 2025–Jun 2026
- Eligibility to work in Singapore
About Mizuho Financial
mizuhogroup.comMizuho Financial Group is a financial partner that helps customers shape their future and achieve their dreams.
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