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Junior Risk Analyst (Internship)- Milan

Pubblicato il 09-09-2026 - Savills Investment Management in Milano

About the Company:

Our purpose is to build prosperity by investing in resilient real assets. Our vision is to be a trusted investment manager, respected for our expertise in restorative real estate investment enabling people, communities and eco-systems to thrive.

We are a dedicated real estate and real-estate debt specialist managing €25.5bn on behalf of institutional investors globally. Our global platform of 15 locations enables us to combine a truly global perspective with local expertise to offer investors a range of compelling strategies.

The firm has over 30 years of experience delivering real estate strategies for investors, with over 380 staff dedicated to positive client outcomes. Our strategies span the office, logistics & industrial, retail, living and debt sectors, and have been designed with the flexibility to meet the needs of a wide range of investors.

Responsible investment is integrated into our investment‑management process to ensure that responsible investment risks and opportunities are not siloed, but recognised and acted upon throughout our business, as well as communicated to investors.

Savills Investment Management: Resilience. Responsibility. Results.

Opportunity:

This is a 6-month full-time paid internship working out of our Milan office.

Job Purpose:

This role will support the Risk Management and Valuation function in Italy.





Responsibilities and Tasks include but are not limited to:

- Risk analysis: collection, input and elaboration of data with excel files
- Valuation analysis: support the team in validating the market value of the invested assets
- Calculation of key risk indicators for managed AIFs
- Sensitivity analysis and stress tests
- Counterparty Credit Risk Assessment
- Reporting activity (group and statutory/regulatory): input and preparation of the various reports (quarterly and semi-annual)
- Maintain / review data in the information system and database used by the risk management team
- Any other related task as required by the head of function
- Support to risk analysis activity required by Group policies and standards from time to time

Requirements:

- Degree qualified (Economics and Finance and/or Master in Real Estate Finance), with an aptitude for quantitative techniques, an analytical approach to completing assignments and strong attention to detail.
- Analytical skills and entrepreneurial attitude.

Skills Required:

- Strong IT & Microsoft Office skills including Excel, Word and PowerPoint.
- Good time management and the ability to prioritise tasks.
- An ability to work on a diverse range of ongoing projects and tasks (as above).
- Able to write and communicate in English fluently.

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