
Intern Risk Manager (limited to 6 months)
- Paris
- Stage
- Temps-plein
- Actively participate in the maintenance and enhancement of existing monitoring processes, in particular for liquidity risk such as daily net cash flow monitoring, monthly large client concentration monitoring, monthly liquidity stress testing monitoring, and ESG risk such as BoE stress tests reports and ESG risk screening reports
- Collaborate closely with the Market Risk team and the Credits, Counterparty and Pricing Risk team, providing further Investment Risk insights can be gained through
- Actively participate in the enhancement of our climate change stress tests models
- Actively participate in setting-up reports based on internal E, S and G scores and defining internal thresholds
- Actively participate in the enhancement of the ESG quarterly risk reports and the UK TCFD report.
- Advanced bachelor's or master's degree with quantitative and financial background is a must
- Interest in the asset management industry
- Data scientist background
- Diligence, ability to work in a team and take initiative
- Good written and verbal communication skills
- Very good English skills both spoken and written
- French and/or German skills are a plus.
- Balanced work environment: A dynamic office culture that supports flexibility and collaboration.
- Support for what matters: Mental health and wellbeing programs
- Investments in your career: Career opportunities within the entire Allianz Group
- Investments in your skills: Comprehensive learning and development offerings, including certifications and professional qualifications
- … and so much more!