We offer:
• A supportive and vibrant multinational environment in an inspiring international team
• Continuous development opportunities and training tools
• Chance for rotation within teams after 6 months
• Opportunity to participate in the firm’s networking events
• Internship extension / Full-time offer upon graduation
You will:
• Get exposure to one or more of these Asset Classes: Equity, Commodities, Credit, Lending, and Interest- and FX rates
• Provide support in the independent valuations processes of a global portfolio of financial assets using external data sources and internal models
• Learn about pricing and assessing market risk with the use of valuation and risk models
• Understand global financial markets, follow market movements, and comprehend the impact on the portfolio and firm
You have:
• Ongoing BSc (or above) studies in Finance, Economics, Accounting or other quantitative fields
• Interest in financial markets and products and eagerness to learn more
• Problem solving skills with logical thinking and the ability to prioritize
• Familiarity with Excel – VBA knowledge is an advantage
• Good command of spoken and written English

Bérezés: based on discussion