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2026 Risk & Treasury Analyst

BGC Group

City of London

On-site

GBP 60,000 - 80,000

Full time

30+ days ago

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Job summary

A prestigious financial services firm in the City of London is seeking a 2026 Risk & Treasury Analyst for its 24-month rotational program. Analysts will experience various roles in Credit & Market Risk and Treasury, participate in mentorship, and gain practical insights into risk management. Ideal for new graduates with a strong academic background and an interest in finance. Full-time and entry-level.

Qualifications

  • Opportunity to complete the CISI Capital Markets qualification.
  • Complete the Certificate in Treasury Fundamentals.

Responsibilities

  • Assess the creditworthiness of counterparties and conduct due diligence.
  • Review daily activity and analyze market risk profiles.
  • Identify and measure operational risk, recommend actions.

Skills

Quantitative skills
Communication skills
Interest in financial services

Education

Strong academic profile
Job description

BGC Group Greater London, England, United Kingdom

Overview

Join to apply for the 2026 Risk & Treasury Analyst role at BGC Group. This position starts in February 2026 and is a 24-month rotational programme. Analysts participate in three rotations with professionals in Credit & Market Risk and Treasury.

The graduate programme offers mentoring, exposure to diverse aspects of risk and treasury management, opportunities for professional growth and networking, and hands-on experience supporting critical business operations and strategic initiatives.

Responsibilities
  • Assess the creditworthiness of counterparties, evaluate industries and product types, conduct due diligence and determine trading limits.
  • Review daily activity and analyze market risk profiles across the firm; assist with exposure and stress testing models.
  • Identify and measure operational risk across Cantor & BGC businesses and recommend mitigating actions.
  • Assist with liquidity management, cash capital monitoring, and Cantor’s interactions with external rating agencies and funding providers.
  • Contribute to firm-wide initiatives and participate in ad-hoc projects during each rotation; collaborate with different teams to enhance risk frameworks, processes, and overall performance.
Qualifications
  • Opportunity to complete the CISI Capital Markets qualification: Securities, Regulations and Derivatives.
  • Complete the Certificate in Treasury Fundamentals.
Attributes
  • Strong academic profile in business-oriented programs.
  • Robust quantitative and communication skills.
  • Financial industry experience is a plus.
  • Interest in financial services and Risk, Treasury and Compliance.
  • Ability to build relationships with employees at all levels; motivation and drive to succeed in a fast-paced environment.
Seniority level
  • Entry level
Employment type
  • Full-time
Job function
  • Administrative
Industries
  • Financial Services and Capital Markets
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