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Paid Internship
Work Mode
Time Spent
Required Degree
Duration

9Open Positions

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Traineeship - market risk and reporting

esm
Found 1 month ago
Location
Luxembourg, Luxembourg
Duration (Months)
6 Months
Time
Full-time
Work Mode
Not disclosed
Salary
Competitive allowance granted
Visa Help
Not disclosed
Last Verified
1 month ago

Education

  • Bachelor
  • Master

Skills & Qualifications

Technical Skills

  • market risk
  • reporting
  • economics
  • finance
  • risk management
  • business administration
  • mathematics
  • engineering
  • Microsoft Office skills
  • Excel
  • PowerPoint
  • Word
  • Bloomberg
  • MSCI Risk Manager
  • VBA
  • Python

Soft Skills

  • Proactive with keen attention to detail and commitment to excellence
  • Continuous learning mindset
  • Analytical and problem-solving skills
  • Communication and interpersonal skills
  • Teamwork and collaboration oriented
  • Integrity, inclusivity, and respect for diversity

Job Description

We are looking for a motivated trainee with a strong interest in market risk and reporting to join the Risk Management division. You will assist in the risk monitoring and risk reporting processes for the European Stability Mechanism (ESM) and European Financial Stability Facility (EFSF), contribute to data quality checks, and support the development of a new risk analytical solution. You will work under the guidance of the Lead Officer for the Market Risk & Reporting team and report to the Head of Risk Management. Through this traineeship, you will acquire practical experience and knowledge of the day-to-day work of the different business areas in a multilingual and multicultural environment. You will be introduced to the professional world and the constraints, duties, and opportunities therein. In this context, you will interact with internal and external stakeholders.

Requirements

  • A candidate (or recent graduate within one year of graduation) for an advanced university degree in economics, finance, risk management, business administration, mathematics, engineering, or equivalent
  • Previous experience or formal training in market risk and/or liquidity risk analysis is considered a plus
  • A good mastery of Microsoft Office skills (Excel, PowerPoint & Word), Bloomberg and/or MSCI Risk Manager is appreciated
  • Experience and ability for programming in VBA and Python is appreciated
  • Fluency in English, both oral and written required, any additional languages are an asset

Related Field

  • Finance and Banking

Related Subfield

  • Risk Management

Languages

  • English

Nice to Haves

  • Previous experience or formal training in market risk and/or liquidity risk analysis
  • A good mastery of Microsoft Office skills (Excel, PowerPoint & Word), Bloomberg and/or MSCI Risk Manager is appreciated
  • Experience and ability for programming in VBA and Python is appreciated
  • any additional languages are an asset
▶Apply Now

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