Risk Intern
Job Description & How to Apply Below
We are seeking a motivated and analytical Risk Intern to join our Risk Management team for a 6-month internship. This opportunity is designed for graduates who are interested in developing a career in risk management, investment, financial services, or corporate governance.
Key Responsibilities:- Assist the Risk Management team in identifying, assessing, and monitoring key organizational risks.
- Support the preparation and maintenance of risk registers and risk assessment documentation.
- Assist in monitoring Key Risk Indicators (KRIs) and preparing periodic risk reports.
- Support the collection, analysis, and validation of risk-related data.
- Assist in preparing risk dashboards, presentations, and management reports.
- Support risk assessments for business activities, projects, and investment-related activities.
- Assist with monitoring risk mitigation actions and following up with relevant departments.
- Conduct research on market, financial, operational, and industry risks.
- Support scenario analysis, risk assessments, and basic stress-testing exercises where applicable.
- Assist in reviewing internal policies, procedures, and controls from a risk perspective.
- Support the Risk team in preparing materials for management and relevant committees.
- Maintain accurate and organized risk documentation and records.
- Perform other risk-related assignments and projects as required.
- Bachelor's degree or final-year student in Finance, Economics, Accounting, Risk Management, Business Administration, Mathematics, Statistics, or a related field.
- Fresh graduates are encouraged to apply.
- Strong interest in Risk Management, Investment, Financial Services, or Capital Markets.
- Relevant coursework, projects, certifications, or academic experience in risk or finance will be an advantage.
- Strong analytical and numerical skills.
- Good understanding of basic financial and business concepts.
- Proficiency in Microsoft Excel and PowerPoint.
- Strong attention to detail and accuracy.
- Good research and problem-solving skills.
- Strong written and verbal communication skills in English.
- Ability to organize information and prepare clear reports and presentations.
- Ability to work independently while also contributing effectively to a team.
- High level of integrity and confidentiality.
- Willingness to learn and develop professionally.
Skills:
- Knowledge of Enterprise Risk Management (ERM) concepts.
- Basic understanding of financial, market, credit, liquidity, or operational risk.
- Familiarity with risk assessment frameworks and risk registers.
- Exposure to data analysis or visualization tools such as Power BI is an advantage.
- Knowledge of financial markets or investment products is an advantage.
- 6-month structured internship program.
- Monthly training allowance.
- Practical exposure to Risk Management within an investment and financial services environment.
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