2027 Truist Securities - Financial Risk Management (Capital Markets) - Analyst Program (INTERN
Listed on 2026-08-13
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Finance & Banking
Corporate Finance, Banking & Finance, Capital Markets, Financial Analyst
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Role summaryTruist Securities is seeking candidates for its Financial Risk Management (FRM) Analyst Program, specifically targeting former 2026 Truist Interns for a potential conversion into a full-time role. This two-year program, primarily based in Atlanta, GA, begins with intensive classroom training covering capital markets, financial modeling, and corporate finance. Analysts will then join the FRM team, focusing on foreign exchange, interest rate, and commodity derivatives.
Responsibilities include supporting senior investment banking professionals, creating client presentations, pricing transactions, executing trades, and providing market commentary. The role requires strong analytical, communication, and interpersonal skills, with a preference for business majors and prior finance/accounting coursework. The base salary is $100,000 per year.
Regular
Language FluencyEnglish (Required)
Work Shift1st shift (United States of America)
Corporate OverviewTruist Securities is the full-service corporate and investment banking arm of Truist Financial Corporation (NYSE: TFC), one of the nation's largest banking organizations. Truist Securities, together with Commercial Real Estate, and Treasury & Payment Solutions, comprise Truist's Corporate & Institutional Group, offering lending, capital markets and treasury management solutions to businesses, institutions, not for profit organizations and government entities. Founded more than 100 years ago, we offer large-firm capabilities in a boutique culture and value our vibrant workplace that reflects the diversity of the many communities we serve.
We pride ourselves on the career development of our employees. You will work alongside senior-level management on real deals right from the start. We encourage and reward you to take an active role in helping our clients achieve their goals.
This requisition is open to 2026 Truist Interns only. Applicants who were not 2026 Truist interns will not be considered.
Requisition s open to other external candidates will be posted at a later date if additional positions remain open.
Truist Securities's Financial Risk Management (FRM) Analyst Program begins with up to seven weeks of classroom instruction consisting of an introduction to capital markets, products and services, accounting, corporate finance, systems and financial modeling training designed to give Analysts all the tools they will need to be successful. After the classroom training, Analysts join the FRM product group and play a meaningful role in supporting senior investment banking professionals.
The Financial Risk Management Analyst program provides the opportunity to gain exposure to a number of disciplines within investment banking and capital markets. Analysts will sharpen financial analysis skills, develop an understanding of corporate markets and clients, and gain experience in corporate finance and with investment banking products through on-the-job training. Within each group, Analysts play a meaningful role in supporting internal and external clients.
Assignments will be within the Financial Risk Management groups, with the opportunity to interact with other groups and disciplines throughout the investment bank.
Financial
Risk Management:
The Financial Risk Management team at Truist Securities is a product-oriented team that focuses on foreign exchange, interest rate, and commodity derivatives. The team sits on the private side of the trading floor and interacts daily with bankers, traders, clients, and capital raising partners. The client set covered spans the full spectrum, from small cap to middle market regional clients, as well as from Not-For-Profits to the large cap Fortune 500.
FRM analysts assist senior marketers by creating presentation materials, pricing hedge transactions, executing client trades, and providing commentary on current market conditions.
The Financial Risk Management Analyst position is typically a two-year position. At the end of the two-year period, Analysts may be asked to remain in the role for an additional year.
Minimum Requirements- Completed BA/BS degree with a scheduled graduation of December 2026 or May/June 2027
- Proven analytical ability and attention to detail
- Solid leadership and interpersonal skills
- Superior written and oral communication skills
- Ability to work well in a fast-paced, team oriented environment
- Must have been a 2026 Truist Intern
- Business major
- Overall GPA of 3.0
- Strong interest in finance and investment banking
- Prior completion of Accounting or Finance coursework
- High degree of academic and extracurricular achievement
- Willingness to commit substantial time and energy to the program
In compliance with law, Truist will consider any candidate with an unrestricted work…
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