Bewerben als Client Risk Management - Equity & Credit Flow - Curricular Internship Job Id: 11745
Competence Line: Client Solutions
Markets Products
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Working Students, Interns & others
UniCredit is a pan-European Commercial bank with a unique service offering in Italy, Germany, Central and Eastern Europe. We serve over 15 million customers worldwide. They are at the heart of what we do in all our markets. UniCredit is organized in four core regions and two product factories, Corporate and Individual Solutions. This allows us to be close to our clients and use the scale of the entire Group for developing and offering the best products across all our markets.
Derivatives Trading is part of UniCredit Bank's markets division. In its capacity, the desk is pricing, trading, and hedging plain vanilla, structured, and flow products for corporate, institutional, and retail clients. The intern position offers the opportunity to be involved in the day-to-day work, price contribution, risk analysis, and hedging.
What you'll be doing
Help in maintaining price contribution of cross asset derivatives Communication with our sales team and clients Involvement in risk analysis and management Support trading decisions, position analysis, and risk management through creation of advanced Excel tools (using VBA) What you'll need to succeed
Excellent university degree and academic records Understanding of products, applications, models, and risk management for Corporate Clients Trading & Treasury profile: exceptional quantitative approach and outstanding capacity for problem solving, quick thinking, and execution Confidence to take on early responsibility What you'll get in return
Interesting tasks and responsibility Working location in the centre of Milan An open-minded, dynamic, and international company culture Working in a fast-paced and challenging environment on a cross asset derivative desk About UniCredit Group
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