WHO WE ARE
The (COMPANY NAME) Group is a leader in banking and financial services, employing over 200,000 people across 80 countries and 5 continents. (COMPANY NAME) Corporate & Investment Banking (CIB) is a leading European investment bank with global leadership in many of our businesses. (COMPANY NAME) CIB, with nearly 20,000 employees in over 50 countries, can offer you an exciting and truly global career.
At (COMPANY NAME) CIB, we work continuously on behalf of our clients, helping them to realise their projects around the world. You can be an important part of this, helping us to serve our clients both in mature and emerging markets, providing them with financial solutions across a diverse range of expertise, products and services. Our origins lie in Europe but nearly a quarter of our employees now work in our multi-award-winning Asian offices and we are a committed player in all markets.
(COMPANY NAME)' FXLM business offers a complete suite of products and services to address clients investing and hedging needs. Operating from our three global hubs we offer Sales, Trading, Research and Strategy, FX Prime Brokerage, Local Markets coverage and Electronic Trading capabilities.
WHAT YOU WILL DO You will be hired into CD Index Structuring in London as a Commodity Index Structuring Assistant.
Market research on Commodities Factor Investing
Application of statistical techniques to analyse market data
Idea generation and development of rule-based indices/strategies
Programming work to improve the current testing platform / implementing new indices in the current platforms
Discussion with key stakeholders and documentation of results
Support the marketing effort by preparing client reporting and analysis
WHAT WE ARE LOOKING FOR
xxx3; Demonstrable interest in the financial markets or economic affairs
xxx3; Proactive and enthusiastic self-starter
xxx3; Strong mathematical, analytical & quantitative skills
xxx3; Strong attention to detail
xxx3; Strong organisational and time management skills
xxx3; Team player
TECHNICAL SKILLS AND QUALIFICATION REQUIRED FOR THE ROLE
xxx3; A minimum of a Bachelor's degree in a quantitative discipline or finance; ideally someone at Master 1 level/gap year within curriculum who would like to spend 11 months at (COMPANY NAME) before his/her Master 2.
xxx3; Strong academic record
xxx3; Strong programming skills (especially Python and Java)
xxx3; Advanced skills in Microsoft Office (Excel/PowerPoint/VBA)
xxx3; Interest in the financial industry and familiarity with financial products
xxx3; Accuracy and attention to detail
xxx3; Ability to work independently and diligently
xxx3; Ability to work under pressure and to multi-task in a fast-paced environment
xxx3; Motivation and initiative
xxx3; Excellent communication and interpersonal skills required for interacting with other BNP departments
xxx3; Proven analytical and problem solving skills
xxx3; Be a role model, supporting and fostering a culture of good conduct
xxx3; Demonstrate proactivity, transparency, and accountability for identifying and managing conduct risks
xxx3; Consider the implications of your actions on colleagues, partners and clients before making decisions
xxx3; Escalate issues to your manager when unsure
Duration: 11 months
Primary Location: GB-LondonJob Type: Long Term InternshipJob: Not applicable Reference