Job Description:
* Validate and conduct thorough financial and credit analysis of corporate and financial institution counterparties.
* Access creditworthiness and document findings in comprehensive credit memos to support the establishment and monitoring of counterparty limits.
* Assist to conduct weekly country and market analysis, analysing high-frequency data, identifying key financial risk drivers, and presenting actionable insights and findings.
* Perform in-depth investigations into regional entity financial statements (P&L, Balance Sheet, Cash Flow) to identify underlying business trends, emerging financial risk drivers, and areas for capital efficiency optimization.
* Perform ratio analysis (e.g., leverage, profitability, liquidity ratios) and peer benchmarking to quantitatively assess the financial health, credit risk profile, and stability of entities within the regional portfolio
Candidate Requirements:
* Minimum Bachelor's degree
* Majoring in Finance, Accounting, or a related quantitative field who can work with complex financial data and apply core financial concepts to Treasury business challenges.
* Keen Interest in Financial Markets, demonstrating enthusiasm for macro-economic trends, financial market mechanics, and a desire to develop proficiency in financial analysis relevant to treasury risk and portfolio management.
* Proficient in Excel and PowerPoint, proficiency in Python and SQL is a plus
* A highly proactive and enthusiastic self-starter who consistently seeks opportunities to acquire new technical skills and strive to contribute meaningful insights without requiring constant supervision.
* Full-time interns preferred (3-6 months)
* Part-time interns who can commit at least 3 working days a week are also welcome to apply
| Source: | Company website |
| Posted on: | 06 Jun 2026 (verified 10 Apr 2026) |
| Type of offer: | Internship |
| Industry: | Internet / New Media |
| Job duration: | 5 months |
| Languages: | English |