Graduate Trainee – Risk Management Trainee|Sydney|Corporate & Investment banking Graduate Trainee – Risk Management Sydney, Australia Trainee Corporate & Investment banking Responsibilities Join Societe Generale Corporate & Investment Banking (SG CIB) as a Graduate Trainee in Sydney, Australia. We are currently looking for a Graduate Trainee – Risk Management to join us on a full-time fixed term basis for 12 months. This is an exciting opportunity to join a dynamic and growing team and get hands-on experience within a fast-paced, results focused, global organisation.Working with the Chief Risk Officer (CRO), the successful candidate will: Build up a sound understanding of each of the SG Sydney Branch Front Office businesses, their strategies, products and services to understand how they fit within the broader banking market in Australia & New Zealand; Become rapidly proficient with all aspects of the credit process including the review of credit applications ( review of Financial modelling included in the credit applications and understanding sensitivity analyses); Support ongoing portfolio management and the gathering of pertinent information from a wide array of sources; Perform deep dives into particular topics / sectors of risk with the preparation of research materials into compact studies to be presented by the CRO; Assist in the production of the Risk Management Committee pack for quarterly Committee purposes; Collate, monitor and explain any resultant breaches or oversteps of key Risk Metrics; Periodical communication with front office to obtain a thorough understanding of credit exposures in order to deepen the understanding of and to monitor risk within those portfolios; Monitor market movements and their impacts or potential impacts on SG Sydney Branch's credit portfolio; Preparation of ad hoc responses and reports for internal requests and external parties such as regulatory authorities, auditors etc; Manage special requests from management including from the CRO and Chief Country Officer; Assist CRO with operational risk monitoring and use of the bank's internal systems for tracking and closing recommendations from internal and external auditors; Cooperation with regional RISQ teams to work on ad hoc requests. Profile required Qualifications, Experience & Knowledge Required University degree in a relevant discipline (Commerce, Finance, Risk Management, Engineering or Mathematics) Interest in and basic understanding of global debt and market activities Behavioural Competencies Required: Entrepreneurial, curious, pro-active, rigorous, team player and self-motivated Ability to build strong working relationships (including remotely) with people from diverse, international backgrounds Good communication and organisational skills Functional Relationships: Internal: staff from business divisions and support functions locally, regionally, and globally External: external auditors