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Paid Internship
Work Mode
Time Spent
Required Degree
Duration

22Open Positions

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PhD Traineeship in the Market-based Finance Division

European Central Bank
Found 4 weeks ago
Location
Frankfurt am Main, Germany
Duration (Months)
6 Months
Time
Full-time
Work Mode
On-site
Salary
€2,120 per month
Visa Help
Not disclosed
Last Verified
4 weeks ago

Education

  • Master
  • PhD

Skills & Qualifications

Technical Skills

  • Python
  • R
  • SQL
  • PySpark
  • MATLAB
  • Stata
  • MS Office package
  • financial instruments
  • institutions
  • markets
  • financial sector analysis
  • policy
  • regulation
  • panel data econometrics
  • numerical techniques
  • mathematical optimisation models
  • computational economics
  • network analysis
  • corporate finance
  • big data management
  • data science

Soft Skills

  • analytical
  • research
  • Curious
  • eager to learn
  • ability to analyse complex information
  • collaborate with others
  • pursue team goals
  • learn from other people’s diverse perspectives
  • anticipate stakeholder needs
  • motivated to contribute to the ECB’s mission
  • serve the citizens of the EU
  • work with colleagues from all over Europe

Job Description

You will be part of the Market-based Finance Division in the Directorate General Macroprudential Policy and Financial Stability. Our Directorate General has more than 100 staff providing analyses and policy advice on issues relating to financial stability, non-bank financial intermediation, financial regulation and macroprudential policy. The Market-based Finance Division assesses and mitigates the systemic risks arising from the activities and behaviour of non-bank financial intermediaries. We also monitor financial stability risks in financial markets, coordinate the Directorate General’s market intelligence activities and improve understanding of how market-based finance interacts with monetary policy. In your role as a PhD trainee, you will be part of a team of approximately 20 members of staff responsible for policy-relevant analysis, model development and the coordination of the ECB’s views on the issues mentioned above.

Requirements

  • a master’s degree and at least two years of PhD studies in finance, economics, statistics, mathematics, physics, engineering, computer science or a related field
  • a sound background in (including an analytical or research project on) one or more of the following areas: financial instruments, institutions and markets; financial sector analysis, policy and/or regulation; panel data econometrics; numerical techniques; mathematical optimisation models; computational economics; network analysis; corporate finance; big data management; and data science
  • a good knowledge of one or more programming languages and/or econometric software (e.g. Python, R, SQL, PySpark, MATLAB, Stata)
  • a good knowledge of the MS Office package
  • an advanced (C1) command of English and an intermediate (B1) command of at least one other official language of the EU, according to the Common European Framework of Reference for Languages

Related Field

  • Finance and Banking

Related Subfield

  • Corporate Finance

Languages

  • English
  • German

Nice to Haves

  • experience working with large granular datasets
  • combining different data sources
  • drawing information from complex financial and real sector data
  • knowledge of at least one of the tasks listed in the “Your role” section above
▶Apply Now

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