Cantor Fitzgerald was founded as a bond brokerage firm in 1945 by Bernard Gerald Cantor. By 1972 it had become the world’s first electronic marketplace for the U.S. Government Securities. In 1996, Cantor launched a fully electronic trading platform called eSpeed. In 2004, Cantor separated this business to form BGC Group, BGC Group is a leading global brokerage company servicing the financial and real estate markets. We are experts in our fields, agile and dynamic in our approach. BGC offers customers access to more than 200 financial products. BGC Group & Cantor Fitzgerald are looking for a Graduate that has completed their studies and looking for an entry level role in Financial Services. This position will commence in February 2026 and consists of a 24-month rotational programme. Analysts participate in three rotations, where they will work with professionals who manage the following functions: 1. Credit & Market Risk 2. Enterprise Risk 3. Treasury The graduate programme will offer you: A structured rotational program with mentoring from experienced professionals. Exposure to diverse aspects of risk and treasury management Opportunities for professional growth and networking within the financial industry. Hands-on experience supporting critical business operations and strategic initiatives. Responsibilities include: Assessing the creditworthiness of counterparties, evaluating industries and product types, conducting due diligence and determine trading limits. Reviewing daily activity and analysis of market risk profiles across the firm. In addition, analysts will help run exposure and stress testing models. Identifying and measuring operational risk across the various Cantor & BGC business and recommending appropriate mitigating actions. Assisting with liquidity management, cash capital monitoring and Cantor’s interactions with external rating agencies and funding providers. Contribute to firm-wide initiatives and participate in ad-hoc projects throughout each rotation. Collaborate with different teams to enhance risk frameworks, processes, and overall business performance. Qualifications: Analyst will have the opportunity to complete the CISI Capital Markets qualification: Securities, Regulations and Derivatives. Complete the Certificate in Treasury Fundamentals Attributes: A strong academic profile in business-oriented programs. Robust quantitative and communication skills. Financial industry experience is a plus. An interest in financial services and Risk, Treasury and Compliance. Ability to build relationships with employees of all levels. Good attention to detail. Motivation and drive to succeed in a fast-paced environment. Strong communication skills Ability to build relationships with various stakeholders