Overview:
Abaxx Exchange seeks a highly motivated and detail-oriented Risk Management Master's Intern to join our dynamic team. This role offers the opportunity to gain valuable hands-on experience in the financial industry, specifically focused on identifying, analyzing, and mitigating financial risks associated with commodity trading activities.
Who We Are Looking For:
We are seeking a qualified candidate with a strong academic background (ideally pursuing a Master's degree in Finance, Risk Management, or a related field) or relevant work experience (1-2 years) in risk management. You should possess a strong analytical mind and a passion for delving into complex financial data.
Key Responsibilities:
· Assist in the identification, analysis and assessment of financial risks for various financial products and counterparties.
· Utilize SQL to manage and query databases for risk analysis.
· Support the development and maintenance of internal risk models (e.g. margin models, counterparty credit rating) and tools using programming languages (e.g., Python); and assist in making improvements thereto
· Collaborate with the risk team to prepare reports and presentations for management.
· Develop analytical reports and dashboard for key risk indicators
· Conduct research on industry trends and regulatory changes impacting financial risks of clearinghouses.
· Participate in team meetings and contribute to discussions on risk management strategies.
Requirements:
· Master's degree in Finance, Risk Management, or a related field or with relevant work experience (1-2 years) in risk management
· Proficiency in SQL for database management and querying.
· Proficiency in one or more programming languages (e.g., Python).
· Excellent analytical and problem-solving skills.
· Strong attention to detail and ability to work independently.
· Effective communication and teamwork skills.
· Able to commit working full-time for a minimum of 6 months
Preferred Qualifications:
· Previous internship or project experience in counterparty risk or financial analysis.
· Familiarity with data visualization tools.
· Experience with version control systems (e.g., Git).
· Interest in regulatory frameworks related to financial risks of a central counterparty.
What We Offer:
· Hands-on experience in a dynamic and supportive work environment.
· Mentorship and guidance from experienced professionals in the field.
· Potential for future career opportunities within the company.
How to Apply:
· Interested candidates should submit their resume, availability and relevant qualifications to [email protected].