Skip to main content
Recently opened
Recently opened

Our Markets team helps clients navigate complexity, seize opportunities, and manage risk across asset classes. From foreign exchange and interest rates to debt securities and commodities, we deliver bespoke solutions that power global trade and investment.  Financial Markets sits at the heart of our Corporate and Investment Banking business, connecting clients to the capital they need and the opportunities that drive growth.  


About the Graduate Programme – how you’ll learn and grow 

Join a skills-first organisation where your potential matters more than your background. Over our two-year graduate programme, you’ll gain hands-on experience, build lasting relationships and grow your understanding of clients, markets and the wider business. From day one, you’ll contribute to meaningful work and be supported to build a successful long-term career.  

You’ll benefit from:  

  • Real impact: Take ownership of meaningful work that contributes to business outcomes. 
  • Future-ready capabilities: Build the technical, commercial and professional skills needed to succeed.  
  • Global collaboration: Work with colleagues and clients across markets, products and functions.  
  • Continuous growth: Learn from structured development, mentoring and practical experience. 


Where you could work  

During the assessment process, we’ll help you explore which of the following areas best match your strengths and interests:  

  • Sales: Build trusted relationships with institutional clients and deliver investment strategies tailored to their goals. Collaborate across teams to execute trades and manage risk.  
  • Trading: Make markets and manage positions across asset classes. Use data, analytics, and instinct to navigate volatility and drive performance.  
  • Structuring: Design and price complex financial products. Combine quantitative modelling with commercial insight to deliver innovative client solutions.  
  • Financing Risk: Structure and distribute financing deals that support sustainable growth. Manage risk exposure and ensure regulatory alignment.  
  • Research: Deliver differentiated insights across macroeconomics, FX, credit, ESG, commodities, and geopolitics. Help clients and internal stakeholders make smarter decisions.  
  • Macro Portfolio Risk Management, Modelling and Analytics, Product Team & XVA: Join teams that work on risk analytics, quantitative modelling, product assessments and valuation adjustments. Work involves data analysis, scenario work, product review and supporting pricing or risk methodologies.  

 

Bring the skills - we’ll help you build your career  

We welcome students from all degree disciplines and backgrounds, recognising that diverse perspectives drive innovation. 

We’re looking for people who can: 

  • Take ownership and show initiative, thriving in fast-paced environments 
  • Think critically and solve problems using logic, analysis and sound judgement 
  • Learn quickly and stay curious, seeking opportunities to grow and develop 
  • Build strong relationships and collaborate effectively with others 
  • Demonstrate resilience and adaptability when navigating challenge and change 
  • Show curiosity about financial markets, global trends and how they shape businesses and economies.  

For technical roles, we particularly value backgrounds in Computer Science, Engineering, Mathematics, Physics, and Statistics.  


Eligibility    

To be eligible for this graduate programme, you need to be in your final year of study and graduating by July 2027.  You must also have the permanent legal right to work in the country you’re applying to.  

You can only submit one application within a six-month period, so take time to review our opportunities and apply for the role that best fits your interests, skills and career goals. 

Exceptions 

  • UK & UAE: Candidates requiring visa sponsorship will be considered.  
  • UAE: Priority is given to UAE nationals.  

Key Dates 

  • Assessment Centres: October 2026 onwards 
  • Start Date: July 2027  

 

About Corporate & Investment Banking (CIB)  

We are a super-connector for many of the world’s largest companies across more than 50 markets, playing a central role in global trade, capital flows and economic growth. We work with governments, financial institutions, and some of the world’s most ambitious corporates to help them expand, invest, and navigate uncertainty across increasingly complex and fast-changing markets. 

What makes us distinctive is our combination of deep local expertise with an extensive and unique global network. We support clients across risk management, financing, transaction services, advisory, and sustainable finance, helping move capital to where it’s needed most and supporting the real economy across our footprint.