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Paid Internship
Work Mode
Time Spent
Required Degree
Duration

21Open Positions

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12-month Internship Program: Enterprise Risk Management

State Street Corporation
Found 1 month ago
Location
London, United Kingdom
Duration (Months)
12 Months
Time
Full-time
Work Mode
Hybrid
Salary
Not disclosed
Visa Help
Only UK
Last Verified
1 month ago

Education

  • Bachelor

Skills & Qualifications

Technical Skills

  • Economics
  • Business
  • Technology
  • Engineering
  • Risk Management
  • financial markets
  • banking
  • technology
  • Microsoft Office tools
  • data analysis
  • project tools

Soft Skills

  • communication skills
  • collaborate with stakeholders
  • work in a dynamic and complex environment
  • strong communication skills
  • interpersonal skills
  • organizational skills
  • presentation skills
  • develop and manage relationships
  • self-motivation
  • analytical abilities
  • reasoning skills
  • attention to details
  • Team player

Job Description

Enterprise Risk Management is seeking a well-qualified individual to support the UK Superstructure Team in the execution of its varied responsibilities. Our Intern Program is designed for the high potential students, like you, into our most impactful roles preparing you for future success. From day one you will be exploring collaborative and dynamic environment company culture and you will receive: * A structured learning and development program, specific job-related trainings, professional * development and soft skills trainings * A buddy who can offer you their experience, knowledge and guidance throughout your internship. * Dedicated networking events for the Interns * Leadership and business-related sessions with Senior Management * Possibility to grow your professional network by joining an Employee Committees include: Professional PWN, Families Network, Disability & Inclusion Network, Pride & Friends Network, Environmental Sustainability Network This role will involve a variety of tasks, often highly demanding. Key attributes will include strong communication skills, the ability to collaborate with stakeholders from global teams, and the capability to work in a dynamic and complex environment Program dates: 22June 2026 – 21 June 2027 You must be available to participate in the program in person in UK, starting from day one and for its full duration. You must be available to participate in the program in person, starting from day one and for its full duration and you are required to work from the office 4 days a week. In this role, you will perform the following day-to-day activities: * Conduct quarterly review and updates of the SSBT London Branch Risk Appetite Framework (RAF), incl. required documentation, ensuring alignment with the business strategy * Support the annual Bank-wide Risk Identification process, in alignment with global procedures, and assess emerging risks * Coordinate risk interdependencies across various risk dimensions * Collaborate with risk stripes leads to developing the SSBT London Branch Risk Strategy * Act as a coordinator / project manager for risk-overarching initiatives, including audits, regulatory compliance requirements as well as ad-hoc requests from the CRO * Maintain the Risk Governance documentation, including policies, procedures, and technical documents * Maintain SLAs and provide oversight on outsourced activities * Ensure effective internal controls and adherence to risk policies * Lead the collection and synthesis of data inputs from the various risk functions for monthly executive management reporting

Requirements

  • A minimum 2.1 honours degree or equivalent (predicted)
  • Undergraduate students: degree in Economics, Business, Technology, Engineering, or a Risk Management related discipline
  • Interest or coursework related to financial markets, banking, or technology preferred
  • Familiarity with Microsoft Office tools; experience with data analysis or project tools is a plus
  • To apply you must be an undergraduate who is eligible to work in the UK and able to start your placement in early June 2026 and remain in the position for 12 months.
  • You must be intending to return to university to finish your degree after the placement.
  • Proven hands-on capabilities in managing tasks independently, with a willingness and ability to engage in multiple tasks concurrently and reprioritize effectively.
  • Ability to work with tight deadlines and under pressure.
  • Strong interpersonal, organizational, communication and presentation skills (executive messaging).
  • Ability to effectively develop and manage relationships at all levels.
  • Ability and self-motivation to master key concepts and themes in an evolving regulatory environment and model/data landscape.
  • Strong communication skills, both written and oral.
  • Demonstrated strong analytical abilities and reasoning skills with attention to details.
  • Team player in a fast-paced, high-energy environment.

Related Field

  • Finance and Banking

Related Subfield

  • Risk Management

Languages

  • English

Nice to Haves

  • Interest or coursework related to financial markets, banking, or technology
  • experience with data analysis or project tools
▶Apply Now

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