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Graduate Programme - Trading Risk & Product Control

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: ING
Full Time position
Listed on 2026-01-25
Job specializations:
  • Finance & Banking
    Financial Analyst, Risk Manager/Analyst, Financial Compliance, Financial Consultant
Job Description & How to Apply Below
Position: ING Graduate Programme 2026 - Trading Risk & Product Control
Location: Greater London

At ING, we believe success will be achieved if we follow 3 key principles:
We are collaborative: Your ideas are welcome. Together, we solve complex problems to deliver the best solutions for our clients.
We are flexible: Flexibility drives productivity – everyone works differently. We trust our people to make the right choices, act with integrity and deliver optimal performance.
We are impactful: We are connectors, innovators and pioneers. We provide our clients with the expertise they need to fuel their growth and transition to a sustainable future.

Graduate Programme

Our Graduate Programme is designed for ambitious individuals who want to shape the future of banking while developing their skills in a dynamic, international environment. Our Early Careers offerings are built to ignite your passion and accelerate your professional and personal growth.

The ING UK Graduate Programme

will provide you with hands‑on experience and broad exposure to the banking world over 12 months. You will work as an integral part of a team, helping to deliver impactful solutions for ING in a specific department. We offer opportunities across three streams:

  • Financial Markets – Sales and Trading
  • Front Office – Capital Markets & Advisory and Corporate Banking
  • Support & Control functions – Risk, Technology and Research
Trading Risk Management

Trading Risk Management (TRM) London is a team of over 45 professionals supporting Financial Markets businesses withing ING UK. TRM manages Market Risk and Counter party Risk Measurement, with Market Risk focusing on movements in key parameters such as interest rates, credit spreads, and foreign exchange rates. The Graduate Programme will focus on Market Risk, offering hands‑on experience in risk measurement, data analysis, and collaboration with front‑office traders to ensure accurate risk assessment and effective communication of market developments.

Main

Duties and Responsibilities:
  • Reporting of the Risk figures for a specific trading desk:
    Risk reporting includes Value at Risk (VaR) reporting, Liquidity risk reporting and validation of the computations through full trade coverage validations and market data checks; sensitivity reporting and limit checking.
  • Developing a deep understanding of the products and markets covered by the trading desk.
  • Discussing results / market developments / control gaps that are not covered by standard reporting.
  • Contribute to projects, supporting the following:
    Stress Testing, Initial Margining, capital calculations and system upgrades.
Product Control

Product Control (PC) London is a team of over 20 professionals supporting all Financial Markets businesses. PC team is responsible for ensuring accurate validation and financial reporting of trading activities, with a primary focus on the measurement and analysis of trading desks’ daily profit and loss. This function requires close engagement with traders and timely reporting to senior management. In addition, PC maintains robust valuation controls, ensures compliance with applicable financial reporting standards, and acts as the principal point of contact for external auditors.

Main

Duties and Responsibilities:
  • Reporting of the P&L for a specific trading desk: P&L reporting includes confirmation of full trader coverage with reconciliation breaks appropriately managed; explanation of the P&L.
  • Developing a deep understanding of the products and markets covered by the trading desk.
  • Discussing results / market developments with the traders.
  • Pro‑actively looking for market development / process improvements / control gaps that are not covered by standard reporting.
  • Contribute to projects supporting the following:
    Capital calculations, ING funding requirements and system upgrades.
Key Skills and Requirements Essential
  • Progress towards a university degree (at least 2:1) in Finance/Economics or other relevant quantitative fields.
  • Strong A-level results.
  • Highly competent with Microsoft Office program, specifically Excel.
  • Strong interest in financial markets.
  • Basic understanding of financial risks and financial reporting requirements within the banking sector.
  • Delivery focused with strong analytical skills.
  • Excellent verbal and written…
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