Accelerate your career with Our Corporate and Investment Banking (CIB) Quantitative Graduate Programme
Are you passionate about applying innovative solutions to complex problems within Risk Management in Corporate and Investment Banking? Do you thrive both independently and in team environments, and are you captivated by data analysis and the deployment of advanced mathematical and statistical models?
Join our Quantitative Graduate Programme and immerse yourself in a dynamic learning experience across diverse banking and trading quant teams. This is your chance to gain invaluable exposure while learning from leading industry experts.
Programme duration: 18 months
Qualifications
- Postgraduate Degree (Completed or completing in 2026): A background in Finance (Actuarial Science, Mathematical Finance, Business Mathematics and Informatics, etc.) is preferred (e.g., BCom Hons, BSc Hons).
- Alternatively, a general science postgraduate degree with a limited finance background (Physics, Pure/Applied Mathematics, Statistics, Computer Science, Engineering, etc.) with an MSc or MEng is also suitable.
Applications closing date: 30 May 2026


