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Paid Internship
Work Mode
Time Spent
Required Degree
Duration

8Open Positions

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London – Long Term Internship 2026 - Market Risk

BNP Paribas
Found 2 weeks ago
Location
London, United Kingdom
Time
Full-time
Work Mode
On-site
Salary
Not disclosed
Visa Help
Not disclosed
Last Verified
2 weeks ago

Education

  • Bachelor
  • Master

Skills & Qualifications

Technical Skills

  • financial markets
  • options principles
  • derivatives markets
  • MS Office
  • Excel
  • Python
  • R
  • VBA

Soft Skills

  • Curious
  • eager to learn
  • Confident verbal, written communication and networking skills
  • Great organisational, multitasking and time management skills
  • Team player
  • proactive
  • independent
  • enthusiastic self-starter
  • strong interpersonal skills

Job Description

The role is to assist senior team members in the day-to-day business activities and contribute to a variety of tasks allowing a general introduction to the business of RISK MFI and Global Markets. The role will focus on one or more asset classes among equities, rates, credit, FX and commodities. Specific processes managed by the team: Business line leadership * Point of contact for Global Markets (GM) on one or more asset classes market risk topics. * Articulation of main risks and risk opinion to management. * Review of and opinion on information and views provided by GM. * Understanding valuation, capital, funding, and liquidity impact of business line. * Provide support as business-line expert to other RISK teams. * Understand business-line valuation models and methodologies and escalate weaknesses and concerns. * Understand market risk capital framework and escalate weaknesses and concerns. * Market risk analysis of structured/complex transactions. Risk anticipation and detection * Understanding the valuation, risk and P&L of business line activities in the context of current, past and potential market conditions. * Chairing of Main Positions meetings and other forums with Trading, providing independent risk analysis and opinion, escalation of risk topics, and challenge to the business view. * Providing accurate and appropriate risk information and opinion to the FMRC (senior risk management) and other senior management forums. Escalating risk topics to senior management as needed. * Performing in-depth, ad hoc analysis, formulating an opinion and escalating as needed, while judging priority, on all market risk topics affecting the business line. Risk control framework * Analysing risk within the business line with the tools available, driving the improvement of these tools, and ensuring that risks for which tools or data are inadequate are nevertheless adequately understood. * Setting and ensuring timely review of market risk limits in line with framework. * Provide support of IPV methodologies and control of non-tradable/exotic market parameters. * Review and approval of the market risk of exceptional transactions. * Approval of amendments to trading mandates for French Banking Law/Volcker Rule desks. * Definition of risk measurement methods such as stress tests, regulatory measures, and VaR methodologies. * Contribute to French Banking Law/Volcker Rule control plans.

Requirements

  • Degree from a leading university with an excellent academic record; or equivalent work experience.
  • Good understanding of financial markets.
  • Good knowledge of options principles (trading, risk management) and derivatives markets (products and markets).
  • Curious and eager to learn.
  • Confident verbal, written communication and networking skills.
  • Excellent spoken and written English. Additional languages are an advantage.
  • Proficient with MS Office tools, including Excel. Python/R/VBA preferred.
  • Great organisational, multitasking and time management skills.
  • Team player, proactive, independent, enthusiastic self-starter with strong interpersonal skills.

Related Field

  • Finance and Banking

Related Subfield

  • Risk Management

Languages

  • English

Nice to Haves

  • Additional languages are an advantage
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