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Job description
Morgan Stanley offers a 6-12 month internship in Risk Management for students in technical and financial disciplines. The program provides hands-on experience in analyzing financial risks, market conditions, and supporting critical business processes in a multinational environment.
Primary responsibilities include analyzing financial impacts of market conditions, participating in risk reporting processes, providing business analysis support, and identifying and measuring aggregate portfolio risks in stress scenarios.
Required experience includes ongoing BSc studies in Economics, Finance, Accounting, Mathematics, Physics, Computer Science, or Engineering. Strong analytical and numerical skills, proficiency in Microsoft Office, and interest in financial markets are essential. Programming skills in SQL/VBA/Python/Matlab are advantageous.
The internship offers a supportive multinational environment, continuous development opportunities, networking events, potential for internship extension or full-time offer, flexible work arrangements, and the chance to work with a leading global financial services firm.