Graduates will rotate to business areas across Corporate Investment Banking, Personal and Business Banking and Group Finance to gain exposure to credit risk, market risk and internal audit.
The intention is to increase the quantitative analysis capacity within Standard Bank. Graduates will get exposure to model development, model validation, scorecard development and stress testing in Market Risk, Credit Analytics & Portfolio Reporting, Group Credit Risk and Risk Capital, Group Capital Management, Group Internal Audit and other areas.
For the right candidates, there are opportunities to gain international experience through our businesses in the rest of the world.
Graduates will participate in various training initiatives to develop their overall profile and enhance their skills and knowledge to deliver at the required levels. Training will incorporate technical and soft skills development programmes. The programme also offers bursaries to graduates wanting to write the Chartered Financial Analyst (CFA) or Financial Risk Manager (FRM) exams.
Graduates will participate in a training programme for a period of eighteen months and will be required to complete a work back period of one year in Group Risk and Group Internal Audit.
Hear more during the Standard Bank visits to your campus.