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Internship Group Treasury - Collateral Management

Pubblicato il 01-09-2026 - Mediobanca in Milano

Mediobanca is the leading investment bank in Italy. Internationally our footprint includes branches in London, Madrid, Paris and New York. Since Mediobanca was founded in 1946, we have been helping Italian businesses growth with premier advisory services and a complete range of credit solutions, offering customized services and the most sophisticated solutions on financial markets, from advisory to lending, capital markets to specialty finance. With our long-standing presence, solid market position, distinctive specialization, excellent service quality and professionals of the finest calibre, Mediobanca’s corporate customers know they can count on the excellence and exclusivity that have earned us an impeccable reputation over time. Our clients include some of the leading business groups in Italy, plus a significant number of mid-size corporates, to whom we have devoted particular attention over the past ten years. Increasing focus is also being placed on our international clients, for both their cross-border needs and domestic operations. We have introduced new products and targeted new clients in order to meet the challenges posed by today's highly competitive financial markets. As ever it is our clients, along with our professionals and the soundness of our finances, which represent the core values of Mediobanca. **Posizione**:
Placed into the Group Treasury - Collateral Management Desk, the intern will work with the support of the other operational office resources in the: - Collateral optimization - analyzing the collateral inventory and finding the cheapest to deliver assets
- Collateral monitoring and reporting




- Check operations in the front office systems
- Support in collateral-based transactions advisory
- Support trading desks on spot requests
- Other specific analysis and reporting The intern may also take part in projects related to collateral optimization / rationalization. Intern will achieve knowledge in efficiently maximizing the usage of financial collateral at group level through the following activities in charge to the Desk: - Active and independent management of the collateral inventory;
- Collateral transformation and optimization in cooperation, as the case may be, with the other Business Units and Group entities;
- Optimization of collateralized transactions margining;
- Collateral monitoring and reporting;
- Advisory in collateral-based transactions;
- Support - as the case may be - the structuring of new transactions;
- Supporting the activity related to the evaluation of Credit Risk Mitigation criteria for financial collateral. **Requisiti**:
**Education**:
Behavioral skills:
Attention to details, precision, analytical aptitude, willingness to learn and flexibility. Highly motivated with strong communication and interpersonal skills. Ability to work in team, manage tight deadlines and working priorities. Technical skills:
Strong analytical and presentation skills Good knowledge of financial products (in particular fixed income and derivatives) Fluent English (written and spoken) Good knowledge of Microsoft Office (especially on Excel) Knowledge of VBA programming language and Bloomberg is a plus. **Altre informazioni**:
Starting Date: March 2025

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