Market Risk Intern

08 set - Milano
Ing

ING Bank Italy is looking for a Quantitative Market Risk Intern to join the Market Risk department at our office in Milan.

This internship offers a unique opportunity to apply quantitative methods to real market risk, pricing and behavioural modelling challenges, within a leading international bank.

You will be part of a highly analytical and international environment, gaining end‑to‑end exposure to Market Risk activities and contributing (with guidance from senior team members) to:
- Monitoring, measuring, analysing and reporting market risk and liquidity risk indicators and limits, supporting informed risk oversight of the bank’s balance sheet.
- Data gathering, calculations and analytical pre‑work for pricing, valuation and behavioural analysis of balance‑sheet products, contributing to integrated market and liquidity risk assessments.
- Designing and building an advanced forecasting model of customer behaviour under different product characteristics and market scenarios, applying quantitative techniques to a real business problem.

We offer:




- A unique opportunity to apply advanced quantitative skills in a real banking environment, working on intellectually challenging problems at the intersection of financial markets, risk modelling and regulation.
- Hands‑on exposure to state‑of‑the‑art financial risk methodologies and regulatory frameworks, bridging academic theory with real‑world applications.
- Collaboration in a truly international setting, including close interaction with Headquarters and global experts, providing a strong foundation for an international quantitative career.
- A diverse, inclusive and intellectually stimulating workplace, where different quantitative backgrounds (econometrics, mathematics, quantitative finance, physics, engineering) are valued and encouraged.
- The opportunity to contribute to a responsible and sustainable organisation, with ING’s environmental, social and governance (ESG) practices rated ‘strong’ by S&P; Global Ratings.

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