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Paid Internship
Work Mode
Time Spent
Required Degree
Duration

21Open Positions

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Markets – Sales and Trading, Cash Equities, Off-Cycle Internship, Paris – France, 2026

Citigroup
Found 1 month ago
Location
Paris, France
Duration (Months)
6 Months
Time
Full-time
Work Mode
Hybrid
Salary
€43,900.00 - €68,100.00
Visa Help
Not disclosed
Last Verified
1 month ago

Education

  • Bachelor
  • Master

Skills & Qualifications

Technical Skills

  • Excel
  • VBA
  • Python

Soft Skills

  • interpersonal skills
  • attention to detail
  • planning and organizational skills
  • intellectually curious
  • proactively seek out new and creative ideas
  • self-starter
  • thrives both independently and as part of a collaborative team
  • commitment to personal growth and career development
  • mobility and flexibility
  • unwavering commitment to integrity and ethical decision-making

Job Description

Markets at Citi provides world-class solutions that are as sophisticated and diverse as the needs of the corporates, institutions, governments and individual investors we serve in 160 countries and territories. We work on trading floors in over 80 countries, enriching client relationships around the clock. The breadth and depth of our underwriting, structuring, securitisation, sales and trading and distribution capabilities span asset classes and currencies, sectors and industries. And our expertise covers a vast array of products including equities, commodities, credit, futures and foreign exchange (FX). Your time here will look something like this We're committed to teaching you the ropes. The Markets intern analyst program runs for six months starting in July 2026. Working alongside our experienced professionals, incoming analysts will have the opportunity to actively participate and develop their skills in areas such as rates, equities, commodities, credit, futures and FX. At the end of your internship, successful analysts may be considered for a place on a full-time program. What you’ll do * We'll help you learn market making and trading book risk management. * We'll offer you the opportunity to make a significant impact on the trading desk by developing pricing, hedging and analysis tools and strategies. * We'll let you learn from experienced traders as they handle real-time pricing and risk. * We’ll ask you to help monitoring client trades performance by working on reporting and post trade tools. * We’ll ask you to work on macro/microeconomic content by sourcing trade ideas in Citi Research papers. * We'll give you the opportunity to support key desk tasks like risk reconciliation, P&L, and trade booking – great for learning core operations. * We’ll offer you the opportunity to contribute to quantitative research projects focused on identifying systematic trading strategies and improving existing risk models. * We'll provide you with space to develop trade ideas, watch market trends, and improve analysis using Python and VBA to best identify parameter dislocations. * We'll offer you the opportunity to assist in drafting term sheets and to maintain and improve various databases critical to the desk's operations, providing you with valuable exposure to the trading lifecycle. * We’ll provide you support to prepare regular market updates based on Citi's research and traders' insights and collaborate with internal partners across departments such as Debt Capital Markets, sales, trading, banking, legal, and Middle Office. * We’ll give you the resources to create impactful presentations and sales materials, including the opportunity to develop and showcase compelling trade ideas. * We’ll enable you to contribute to the creation of high-quality written derivatives content, including market commentary and trade ideas, for clients such as hedge funds and institutional investors, enhancing your writing skills and industry knowledge. * We’ll provide you with the resources to support the optimisation process for regular client tasks, including post-trade reports and weekly/monthly recaps of client activity. * We'll enable you to drive excellence in pre- and post-trade services, collaborating with Origination, Valuation, Middle, and Back Office departments to ensure seamless execution and exceptional client satisfaction.

Requirements

  • You are currently enrolled in a university that can provide a mandatory internship agreement which forms part of your graduation (Graduation Year 2026/2027) and possess a valid resident/work permit.
  • Ideally, you are on track to graduate with a Bachelor’s/Master’s degree from a Business or Engineering school.
  • You have a good understanding of finance and an interest in Markets.
  • Your previous experience in Financial Markets would be advantageous
  • You are proficient in Microsoft office, especially Excel.
  • Your knowledge of programming languages (VBA, Python) is highly desirable.
  • You have excellent interpersonal skills, coupled with a strong attention to detail and exceptional planning and organizational skills
  • You are intellectually curious and proactively seek out new and creative ideas.
  • You are a self-starter who thrives both independently and as part of a collaborative team, with a strong commitment to personal growth and career development, including mobility and flexibility
  • You have an unwavering commitment to integrity and ethical decision-making.
  • You are fluent in written and spoken English
  • Depending on the specific position, a solid understanding of option pricing theory is required; prior experience in derivatives is advantageous.

Related Field

  • Finance and Banking

Related Subfield

  • Sales & Trading

Languages

  • English

Nice to Haves

  • previous experience in Financial Markets
  • knowledge of programming languages (VBA, Python)
  • solid understanding of option pricing theory
  • prior experience in derivatives
▶Apply Now

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