Part-Time Trading Risk Management Intern

ING Hubs RomaniaNew York, NY
1d$35 - $35Hybrid

About The Position

About the position: Start Date: February– June 2026 TRM is a central part of ING’s Financial Risk management framework with its primary responsibility being the assessment, monitoring, and managing risks of financial markets products. TRM is responsible for the market risk management and product control activities of trading books, and responsible for Asset Liability Management control activities by assessing interest rate and liquidity risk. You will learn how to report and analyze daily market risk reports (VaR, sensitivities and other risk controls) and reconcile and report daily trading and funding P&L. You will be introduced to and develop a working knowledge of various systems used to report daily risk and P&L. These front-office trading and finance systems may include but are not limited to; Sophis, MUREX, Summit, and Peoplesoft products. You will assist in special project work on specific topics that may be related to your field of study. Upon completion of your internship with TRM, you will have developed the basic skills to; analyze and deliver market risk and P&L reports, develop an understanding of various trading asset class such as security financing; fixed income (rates/credit/fx); commodity as well as bank asset/liability mgmt; and contribute to the teams efforts to streamline reporting and reconciliation efficiencies.

Requirements

  • Undergraduate or graduates studying business, finance, accounting, economics, mathematics, engineering, or related field. Liberal arts majors interested in careers in finance and banking are welcome to apply.
  • Comfortable with Excel and spreadsheets.
  • Working knowledge of one or more of the following; Microsoft Excel, VBA, Access, SQL, SAS, and Python
  • Solid understanding of financial analysis/econometrics
  • Must be hardworking and detail-oriented.
  • Strong multi-tasking, analytical, and problem-solving skills
  • High level of performance motivation, and eagerness to learn
  • Team player who is able to work collaboratively with others
  • Good written and verbal communications skills

Nice To Haves

  • Good quantitative and analytical skills and basic understanding of financial instruments is preferred though not required.

Responsibilities

  • report and analyze daily market risk reports (VaR, sensitivities and other risk controls)
  • reconcile and report daily trading and funding P&L
  • assist in special project work on specific topics that may be related to your field of study
  • analyze and deliver market risk and P&L reports
  • contribute to the teams efforts to streamline reporting and reconciliation efficiencies
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