INTERNSHIP - Market Risk Analyst

Internship|New York|Risks

INTERNSHIP - Market Risk Analyst

New York, United States Internship Risks

Responsibilities

This is a 6-12 month internship starting in December 2020/January 2021. 

This intern will sit on the trading floor with the rest of the team

MAIN ACCOUNTABILITIES

You will be attached primarily to the Equity Risk Manager of the NYC platform.

Day to day responsibilities include but not limited to:

  • Providing analytical support for the team
  • Prepare risk reports and presentations
  • Improve existing tools to facilitate the reporting
  • Understanding and analyzing risk representation of various traded products and other investments
  • Understanding issues surrounding regulatory and economic capital for market risk  

Profile required

COMPETENCIES

Required:

  • Strong quantitative orientation and analytical skills
  • Highly motivated and fast learning individual
  • Very good knowledge of Fixed Income products (Bonds, CDS, FTD etc…), risk analysis and models (VaR, Stress test) and valuation models of financial products

Desired:

  • Very good knowledge of Credit and Structured  products including Credit Derivatives (CDS), Financing products (Repos, Swaps) and Fixed Income products (Corporate, RMBS, CLOs, CMBS etc), financial modeling, risk analysis and models (VaR, Stress test) and valuation models of financial products.
  •  Critical Thinking

 

TECHNICAL SKILLS

Required:

  • Ability to write VBA or script
  • Excel, Access, strong SQL skills
  • PowerBi

 

PRIOR WORK EXPERIENCE

Desired

  • First experience in Market Risk or trading will be appreciated

EDUCATION

Required:

  • Bachelor degree with a major in Finance
  • **This internship is 6-12 months in duration looking for an intern to work full-time hours, at least 8 hours a day 5 days a week. Compensation is hourly based on education and experience**

Business insight

DEPARTMENT DESCRIPTION

SG CIB is the Corporate and Investment Banking arm of the Société Générale Group.

Present in over 50 countries across Europe, the Americas and Asia.SG CIB provides corporates, financial institutions, investors and public sector clients with value-added integrated financial solutions.

You will be part of the RISQ department which monitors and manages, directly and independently to the Direction of the Group, the risk exposures. Within this department you will join the team in charge of the Market Risk management.

We are an equal opportunities employer and we are proud to make diversity a strength for our company. Societe Generale is committed to recognizing and promoting all talents, regardless of their beliefs, age, disability, parental status, ethnic origin, nationality, gender identity, sexual orientation, membership of a political, religious, trade union or minority organisation, or any other characteristic that could be subject to discrimination.

Reference: 220000D8
Entity: SG AMERICAS OPERATIONAL SECURITIES
Starting date: 2022/02/07
Publication date: 2022/01/11
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