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Job Details

Rokos Capital Management logo
Hedge Funds

RCM Analyst Programme 2026

at Rokos Capital Management

GraduateNo visa sponsorship

Posted 17 days ago

No clicks

A rotational graduate analyst programme offering placements across Portfolio Trading, Treasury, and Risk, providing broad exposure to market execution, cash and collateral management, and risk measurement and control. Participants will develop into holistic macro trading professionals and gain practical treasury and risk experience on the buy-side. The role emphasises technical proficiency, quantitative reasoning, strong communication, and collaborative problem solving.

Compensation
Not specified

Currency: Not specified

City
Not specified
Country
Not specified

Full Job Description

WHAT IS THE OPPORTUNITY? 

Our rotational Analyst Graduate Programme will allow you to contribute to and learn from teams such as Portfolio Trading, Treasury and Risk.

 

Portfolio Trading
Portfolio trading is the way we access markets. We connect with external counterparts to execute and source market information, and we generate trade ideas. The team is collaborative by design; therefore, we are looking for strong team players who are proactive in offering and asking for help. You will be given significant opportunities to learn and develop into holistic macro trading professionals, gaining expertise across all major macro asset classes.

 

Treasury
Our Treasury Team is responsible for running the treasury operations of the fund, including cash and liquidity management, collateral management and execution of financing transactions.

 

Risk
Risk is at the centre of our investment strategy. It impacts the way we manage the portfolio, and our relationship with counterparties, regulators, and our investors. Our aim is to Identify, Measure, Monitor, and Control Risk. The success of this mission starts with the quality and competence of the individuals working in the risk team.

 

WHAT ARE WE LOOKING FOR?

Academic excellence

Proven academic success with A*/A grades at A-Level or equivalent. On track for a 1st Class degree or international equivalent in a STEM subject at a leading university.

 

Collaborative mindset

Strong teamwork skills with the ability to take the initiative and work independently to drive change.

 

Communication skills

Excellent communication skills and the ability to communicate clearly and concisely.

 

Quantitative skills

Exceptional numerical and logical reasoning skills.

 

Technical proficiency

Enthusiasm for technology, coupled with programming capabilities in at least one object-oriented language.

 

Financial acumen

Demonstrated understanding of financial concepts. Desire to build a career on the buy-side.

 

Innovative Problem Solver

Pragmatic approach to problem solving. Inquisitive, sharp and enthusiastic.

Job Details

Rokos Capital Management logo
Hedge Funds

17 days ago

clicks

RCM Analyst Programme 2026

at Rokos Capital Management

GraduateNo visa sponsorship

Not specified

Currency not set

City: Not specified

Country: Not specified

A rotational graduate analyst programme offering placements across Portfolio Trading, Treasury, and Risk, providing broad exposure to market execution, cash and collateral management, and risk measurement and control. Participants will develop into holistic macro trading professionals and gain practical treasury and risk experience on the buy-side. The role emphasises technical proficiency, quantitative reasoning, strong communication, and collaborative problem solving.

Full Job Description

WHAT IS THE OPPORTUNITY? 

Our rotational Analyst Graduate Programme will allow you to contribute to and learn from teams such as Portfolio Trading, Treasury and Risk.

 

Portfolio Trading
Portfolio trading is the way we access markets. We connect with external counterparts to execute and source market information, and we generate trade ideas. The team is collaborative by design; therefore, we are looking for strong team players who are proactive in offering and asking for help. You will be given significant opportunities to learn and develop into holistic macro trading professionals, gaining expertise across all major macro asset classes.

 

Treasury
Our Treasury Team is responsible for running the treasury operations of the fund, including cash and liquidity management, collateral management and execution of financing transactions.

 

Risk
Risk is at the centre of our investment strategy. It impacts the way we manage the portfolio, and our relationship with counterparties, regulators, and our investors. Our aim is to Identify, Measure, Monitor, and Control Risk. The success of this mission starts with the quality and competence of the individuals working in the risk team.

 

WHAT ARE WE LOOKING FOR?

Academic excellence

Proven academic success with A*/A grades at A-Level or equivalent. On track for a 1st Class degree or international equivalent in a STEM subject at a leading university.

 

Collaborative mindset

Strong teamwork skills with the ability to take the initiative and work independently to drive change.

 

Communication skills

Excellent communication skills and the ability to communicate clearly and concisely.

 

Quantitative skills

Exceptional numerical and logical reasoning skills.

 

Technical proficiency

Enthusiasm for technology, coupled with programming capabilities in at least one object-oriented language.

 

Financial acumen

Demonstrated understanding of financial concepts. Desire to build a career on the buy-side.

 

Innovative Problem Solver

Pragmatic approach to problem solving. Inquisitive, sharp and enthusiastic.