Who we are
Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, we service the needs of individuals, institutions, corporates and governments through our three business divisions: Wealth Management, Investment Management and Wholesale (Global Markets and Investment Banking).
Driven by the insights of some 26,000 people worldwide, we put our clients at the center of everything we do, delivering unparalleled access to, from and within Asia. For further information about Nomura, visit www.nomura.com
About our Team
Nomura Risk Management division oversees risks associated with the firm’s global business activities, inclusive of but not limited to market, credit, operational and liquidity risks, while enabling the firm to achieve long-term sustainable growth.
In close collaboration across business divisions, senior management and stakeholders, the division develops and sets risk management frameworks to identify, manage and mitigate the firm’s risks, continually ensuring transparency and business activities are operating in line with risk appetite.
About the Program
During your 2 years as a graduate at Nomura, you will work alongside our global and regional Risk professionals and business counterparts, gaining in-depth knowledge of business activities and new proposals, market developments, managing risk exposures and drivers, setting risk limits and more.
With 3 rotations across Risk Management functions, the range of risk disciplines and experience will prepare you well for a successful career at Nomura. Upon Program completion, placement will be determined in the team that matches your skills and aspiration alongside our business needs.
Risk Management Graduate program rotations across:
• Market Risk Management
• Credit Risk Management
• Wealth Management Risk Management
Please visit our Career website for more details: https://nomuracampus.tal.net/vx/lang-en-GB/mobile-0/appcentre-1/brand-4/xf-31f75f6323a1/candidate/so/pm/1/pl/1/opp/1108-2025-Risk-Management-Graduate-Program-Singapore/en-GB
About You
At Nomura, our goal is to attract and develop exceptionally talented people who share our passion for individual excellence and our commitment to teamwork.
We are looking for graduates with:
• Genuine interest in risk management and financial markets
• Strong academic achievement
• Naturally inquisitive with an analytical mindset to understand risk and financial data
• Strong organizational skills and ability to work in a fast-paced environment
• Excellent written and verbal communication skills
Eligibility
We welcome diversity in our teams and would encourage students from all background and disciplines who are in your final year of study (and be available to commence in July 2025) to apply. Fluency in written and spoken English is required.
Application Deadline
Please apply before 11:55pm, Thursday 31 October 2024 (SGT)
For inquiries, please email [email protected]
Please note that you can only apply to one opportunity globally per academic year. We review applications on a rolling basis and interviews can be arranged prior to the application deadline. We encourage you to apply as soon as you are ready.