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NomuraSingaporeGraduate
2027 Risk Management Graduate Program – Singapore
Join Nomura's 2-year Risk Management Graduate Program in Singapore to gain expertise in market, credit, and wealth management risks through three rotations. Develop skills alongside global professionals and secure a role matching your skills post-program.
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About the Program
- 2-year graduate program with 3 rotations in Risk Management functions.
- Gain knowledge in market, credit, and wealth management risk disciplines.
- Work with global and regional risk professionals and business counterparts.
- Manage risk exposures, set risk limits, and understand market developments.
- Placement after program based on skills, aspirations, and business needs.
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Risk Management Divisions
- Market Risk Management
- Credit Risk Management
- Wealth Management Risk Management
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Candidate Requirements
- Final year students available to start July 2027.
- Genuine interest in risk management and financial markets.
- Strong academic achievement and analytical mindset.
- Excellent written and verbal communication skills.
- Strong organizational skills for fast-paced environments.
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Application Details
- Apply before 2026-09-30 23:55 SGT.
- Only one global application per academic year allowed.
- Applications reviewed on a rolling basis; early interviews possible.
- Contact [email protected] for inquiries.