Intern, Risk Job Description
Intern, Risk Duties & Responsibilities
To write an effective intern, risk job description, begin by listing detailed duties, responsibilities and expectations. We have included intern, risk job description templates that you can modify and use.
Sample responsibilities for this position include:
Intern, Risk Qualifications
Qualifications for a job description may include education, certification, and experience.
Licensing or Certifications for Intern, Risk
List any licenses or certifications required by the position: FRM, CFA, ID, PMP, CAIA, CMA, CCA, CA, CIA, CPA
Education for Intern, Risk
Typically a job would require a certain level of education.
Employers hiring for the intern, risk job most commonly would prefer for their future employee to have a relevant degree such as Bachelor's and Master's Degree in Finance, Management, Business, Economics, Accounting, Computer Science, Statistics, Mathematics, Graduate, Engineering
Skills for Intern, Risk
Desired skills for intern, risk include:
Desired experience for intern, risk includes:
Intern, Risk Examples
Intern, Risk Job Description
- Participate in our week-long developmental intern orientation designed to give you the tools needed to immediately contribute to client engagements
- Produce periodic reports on Treasury and Forex desk activities
- Produce periodic reports on Market, Liquidity and Trading Credit Risk and analyze the results
- Contribute to the development of new Risk models and associated tools
- Provide appropriate knowledge of market products and related regulations
- At all times adhere to Risk Management and Product policies and procedures
- Assist with meeting planning efforts–developing/tracking budgets, reserving conference room space, making reservations at restaurants/hotels, ordering catering, putting program binders together
- Assesses the credit risks and financial strength of new and existing counterparties while continually monitoring appropriate industry sector developments
- Works with other Credit Team members and Management to expand the use of credit risk mitigation tools that allow the operating unit’s credit portfolio and customer base to grow while managing the risk profile within acceptable parameters, drive credit exposures down to a small fraction of current levels and further enhance the operating unit’s overall risk profile within corporate standards
- Reconciles disputed items incurred from the collateral margin call process
- Must be a currently enrolled graduate student pursuing a degree in a highly quantitative discipline
- Knowledge for current regulations with regards to the financial industry generally, and/or central counterparty clearing specifically is a strong plus
- Degree of study in Finance, Accounting, Economics, Statistics, or a Business related discipline preferred
- Prior work experience or internship that includes familiarity with credit risk, market risk, operational risk, models and methods, policy development, or oversight mitigation strategies a plus
- Must be currently pursuing, or soon to be receiving, an advanced degree (MS or PhD) in a quantitative field (statistics, economics, mathematics, finance)
- Proven ability to lead project(s) to conclusion within assigned timelines
Intern, Risk Job Description
- Keeps abreast of new developments in the field their internship is in
- Properly handles client requests through responsiveness, follow-up and escalation to a more senior team member if necessary
- Works proactively with other team members
- Identifies contract renewals and whether terms are still accurate •Perform analysis of proposed new products to ensure new initiatives commence in a manner that minimizes risk to the organization
- You will create and modify customer payment terms as agreed
- You will create and maintain detailed documentation of daily processes (SOPS) and update as necessary
- You will provide administrative support to the Managed team
- Develop tools to improve the economic capital computation process at GMI
- Analyze potential diversification benefits across Global Mortgage Insurance (GMI) platforms through correlation matrix and other methods
- Develop deep drill capabilities within the tool to do some granular analysis on economic capital
- Able to effectively illustrate the “big picture” through the use of data
- Passion gamer with in-depth knowledge of Blizzard games, products, and services
- Degree of study in finance, accounting, Ecomomics, Statistics or a Business related discipline preferred
- 1st year MBA students
- Proven experience in management consulting, investment banking, corporate finance, or product management/analysis a plus
- Strong analytical, fact-based thinker with the ability to synthesize and organize data & information to draw insights
Intern, Risk Job Description
- Sales analysis, marketing strategies, account servicing and client communication plans
- Departmental software tools will be effectively administered to support various risk management deliverables, and a draft User Guide for each tool will be created
- A library of “Best Practices” will be created addressing the department’s top priorities
- Assist in a variety of projects related to risk control
- Streamline data collection and processing for mortgage accumulation
- Create Internal Model documents for entities around the world
- Assist in the Economic Capital Model and Economic Scenario Generator production
- Recycling Cost Optimization (trend analysis of recycling cost payment -27 state)
- Research Governments' Enforcement Action (DOE/EPA/CEC/NRCan) by products/brand
- Auditing LG Website (Energy Star Logo Usage/Energy Guide Label, FTC GreenGuide
- An ambitious self-starter with a proven ability to work collaboratively on a cross-functional team
- Must be a currently enrolled undergraduate student pursuing a degree in science, technology, engineering, math, economics, or finance
- Completed or pursuing a Bachelor’s or graduate degree in computer science, quantitative finance, engineering, or mathematics
- 0-2 years of risk management or other financial related field
- Currently pursuing a BS or BA in Economics, Finance, Agricultural Economics, Engineering, Statistics, Mathematics or other related fields
- Must be comfortable with customer interaction
Intern, Risk Job Description
- Help develop and foster relationships with business owners, IT&S leadership, and other stakeholders involved with Information Security and Privacy initiatives
- Help establish and maintain an enterprise-wide view of security and privacy control gaps and improve risk response strategies
- Help advise business and IT staff at all levels on Information Security and Privacy threats, risks, and activities
- Help review and analyze the impact of Federal and State information protection and privacy regulations, company security and privacy policies, and other business obligations pertaining to the protection of sensitive information
- Research and analyze healthcare security and privacy trends and recommend appropriate action plans
- Collaborate with Information Security and Privacy colleagues on identifying and implementing consistent privacy and security safeguards and controls throughout the organization
- Develop and enhance risk models for the energy generation portfolio within a dynamic and innovative environment
- Work closely with traders, risk analysts and senior management to analyze, value and provide risk analysis around complex transactions and portfolio positions, including power generation, load contracts, complex derivatives, hedging strategies and trading assets
- Be currently pursuing a Bachelor’s degree, on track to graduate between December 2017 and May 2018
- Solid critical thinking ability
- Background knowledge of financial instruments and prior internship experience is a plus
- Applied/Classroom experience with software development languages and tools
- Eclipse, JAVA JDK
- Mathematics, Statistics, Physics and Programming capabilities preferred
- Currently pursuing a Bachelor’s in Finance, Mathematics, Statistics or related field
- Currently pursuing a Master’s in Financial Mathematics, Data Science or Business Analytics
Intern, Risk Job Description
- Data gathering custom OTC products
- Issue counterparty margin calls
- Begins to develop a current knowledge of the laws and regulations that pertain to the OTC Market Risk department Begins to develop a current knowledge of the laws and regulations that pertain to the department they are assigned to
- Work in conjunction with colleagues both here and in Hyderabad regarding the preparation of data, statistical testing, alignment with criteria for our suite of scorecards
- Primary and secondary credit analysis for credit outsourcing and benchmarling exercises
- Assist Business development team with product demos, presentations and sales support questions
- Assist in co-ordination with Sales, Marketing, Solutions & Services senior staff and external partners to deliver materials and events
- Developing workflow processes and documenting methods
- Gathering and sorting of data with some analysis depending on the subject
- Insurance coverage evaluation
- The ideal candidate will have experience with Enterprise versions of Microsoft Office software to include PowerPoint, Visio, and Project
- Desire to pursue applicable professional certification (CIA, CFE, PMP, CISA, CPA)
- Prefer candidates with a minimum of 2 years completion of college coursework
- Accounting, Finance, Mathematics or Risk Management majors preferred
- Exposure to financial derivatives, commodity and financial markets, banking, or securities and fixed income
- Exposure to credit analysis and/or financial statement analysis, preferably within the trading/capital markets or with a financial institution