The two-year Graduate Program provides recent graduates with hands-on experience across a wide range of front, middle, and back-office functions, contributing to projects that support operations, financial activities, client engagement, and regulatory responsibilities. Depending on placement, participants may assist with audits, reporting, compliance, financial transactions, client onboarding, technology, risk management, trade execution, prime brokerage, and client services. In addition to practical experience, the program emphasizes professional development, offering exposure to industry practices, problem-solving, and cross-functional collaboration alongside experienced professionals. Graduates are expected to start no later than September 2026. The Treasury Department at Marex plays a critical role in supporting the firm’s Financing activities by managing liquidity, funding, and cash flow while maintaining a strong control environment. As a core control function, the team is responsible for daily treasury activities including cash positioning, collateral and margin management, and funding strategies, while continuously evaluating processes for improvement. This department not only supports financial stability and regulatory compliance but also establishes the minimum required standards for treasury operations, reinforcing Marex’s commitment to integrity, efficiency, and operational excellence throughout its global footprint. The Treasury Analyst is responsible for supporting core treasury functions that ensure the accurate and timely management of the firm’s liquidity, funding, and cash flow. This role may assist with monitoring daily cash positions, forecasting liquidity needs, managing collateral and margin requirements, and maintaining strong operational controls, while working closely with Front Office, Risk, Finance, Compliance, and Operations teams. In today’s fast‑paced and highly regulated financial markets, efficient and precise treasury operations are essential to minimizing risk and maintaining financial stability. By delivering reliable cash management, supporting funding strategies, and adhering to regulatory requirements, the Treasury Analyst reinforces the firm’s commitment to integrity, compliance, and operational excellence.
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Job Type
Full-time
Career Level
Entry Level