Intern, Trading Risk Management

23

Singapore, Singapore
Undergraduate degree in finance or economics
Strong analytical and quantitative skills
Proficient in excel
The Trading Risk Management team safeguards the bank's financial health by identifying, measuring, monitoring, and controlling exposure to market-driven risks

Job Summary

  • The Trading Risk Management team safeguards the bank's financial health by identifying, measuring, monitoring, and controlling exposure to market-driven risks.
  • Interns will gain exposure to various asset classes across Treasury and Financial Markets desks while assisting with daily risk reporting and regulatory compliance.
  • This six-month full-time internship provides a broad understanding of how a bank's Market Risk department operates and prepares candidates for future career options.

Matching Summary

The Trading Risk Management team safeguards the bank's financial health by identifying, measuring, monitoring, and controlling exposure to market-driven risks.

Skills & Requirements

Must-have

  • Undergraduate degree in Finance or Economics
  • Strong analytical and quantitative skills
  • Proficient in Excel

Nice-to-have

  • VBA coding or programming knowledge
  • Interest in bank risk management
  • Good written and oral communication skills

Key Requirements

  • Pursuing undergraduate degree in Finance, Economics, Statistics, or Quantitative Finance
  • Six-month full-time commitment starting June/July 2026

Work Rights

Not specified

Tailored Resume

Cover Letter