Risk Management Leadership Programme (RMP) recruitment

About Us

GE is a diversified infrastructure, finance and media company taking on the world’s toughest challenges. GE Capital operates at the very heart of European business. We operate in 10 core markets with operations in 19 countries.

GE is planning for tomorrow. Where will you be? GE Capital is committed to fostering the career development of our employees. We help employees achieve their goals while preparing them to face the unique challenges of an ever-changing business environment. As a global business, the opportunities we provide are far-reaching!

                                                                                                                                                                           Role Summary/Purpose                           

                                                                                                                                                                     The Risk Management Programme is an entry-level graduate risk management programme with two twelve month rotational assignments across various risk functional areas and locations.

Rotations may include: Credit Risk, Market Risk, Enterprise Risk, Portfolio Analytics, Credit Modelling and Scorecards, Underwriting, or Collections / Workout. The programme combines formal and on-the-job training, job assignments and interactive seminars to equip you with exceptional technical, financial and business skills.

                                                                                                                                                                  Essential Responsibilities

                                                                                                                                                                      The programme is led by senior GE risk managers and mentors to develop recent graduates into risk professionals.

Responsibilities will depend on the rotation assignment, and may include any or all of the following responsibilities:

• Assist business teams in identifying opportunities within portfolio of existing clients to improve value and mitigate risk

• Assist in managing client invoices, ensuring client receivables account is periodically checked for irregularities

• Assist with market data gathering and analysis

• Assist with ongoing updates of cash flow / valuation models

• Provide analytical support on key business initiatives and develop a thorough understanding of GE Capital’s risk analytic data systems

• Analyse financial statement data and assess business, industry and transaction risks

• Prepare performance reports on delinquencies, losses, drivers, reserves, etc.

• Work cross functionally with other teams

• Assist with reports, ad hoc projects, pitches and presentations as needed

                                                                                                                                    Qualifications/Requirements

                                                                                                                                                             • Bachelor’s degree in Finance, Accounting, Statistics, Mathematics, Economics, Risk Management

• Academic excellence with financial or quantitative interest/competency

• Prior internships and / or holiday placements within a financial services company preferred

• Flexible, adaptable and geographically mobile between European countries

• Business English language (written and spoken) essential

• Strong written and oral communication skills

• Demonstrated interpersonal skills and team player

• Process and detail orientated with good organisational and prioritisation skills

• It is a requirement of the role that you have appropriate authorisation to work in the European Union.

• Fluency in other European languages would be an advantage