Market Risk Intern (Finance)
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
TL;DR
Market Risk Intern (Finance): Supporting the Risk Management team in monitoring and analyzing market risk exposures with an accent on data interpretation and routine risk reporting. Focus on maintaining internal databases, supporting risk projects, and ensuring compliance with control frameworks.
Location: Must be based in Rome, Italy
Salary: 800 EUR gross per month
Company
is a leading European capital market operator covering the entire value chain from listing and trading to clearing and settlement.
What you will do
- Perform ongoing monitoring and analysis of risk exposures and escalate changes as needed.
- Analyze and interpret data to provide regular reports for stakeholders.
- Complete routine risk reporting and produce management information to support decision-making.
- Adhere to applicable risk control frameworks, policies, and procedures.
- Ensure internal databases and systems are kept up to date.
- Support the team in delivering various risk projects and activities.
Requirements
- Master’s Degree in economics, finance, mathematics, engineering, or physics.
- General knowledge of the financial services industry.
- Sound knowledge of MS Office Suite.
- Proficiency in spoken and written English.
- Very good quantitative skills.
- Knowledge of a programming language such as Python or Matlab.
- Attention to detail and precision.
Culture & Benefits
- Opportunity to work within a leading European capital market infrastructure provider.
- Exposure to professional risk management practices in a CCP environment.
- Provision of ticket restaurant benefits.
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