Responsibilities:
- Will have broad exposure to many desks including Credit Risk, Market Risk, Cyber Risk, Liquidity Risk, Enterprise Risk Management, and Testing and Risk Assessment.
- The internship will deal mainly with risk management within an area that falls within the risk department.
- Actively work with many different areas of the business to minimize risk.
Profile Required:
This is a six-month program with the potential to be hired full-time.
Societe Generale’s Career Arc Returnship program is designed to give professionals a chance to re-enter the workforce and refresh and sharpen skills through a six-month paid internship. During the internship, you will be given the opportunity to perform meaningful work in a supportive environment while reacclimating to the banking world. We value a variety of backgrounds and levels of talent and are looking for individuals with previous equity sales and trading experience in areas including prime services, program trading, research sales, equity derivatives sales, equity derivatives trading, derivatives structuring, quantitative strategies, and derivatives strategy.
Skills and Qualifications:
Must Have:
- A minimum of a 2-year career gap
- Knowledge in Risk management
- Strong communication skills and ability to work in a team environment
- Strong background in financial markets products
- Good discipline
- Minimum years of industry experience: 4 years
- Years of Experience (number only) (maximum): 10 years
- Language(s): English
Nice to Have:
- Last Corporate Title of Vice President, Executive Director, Director, or Managing Director
- Preferred Education Background: Finance, Economics, Engineering, Accounting, Math
- Proficient in Microsoft Excel, PowerPoint, Bloomberg Terminal
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