EMEA | London | Global Markets & Financial Risk| Africa Summer Analyst Programme

Please note the maximum number of applications that you can submit per recruitment season is 8.
You are only allowed to submit:
- 3 applications in total to U.S. and Canada programs
- 2 applications in total to APAC programs
- 2 applications in total to LATAM programs
- EMEA applicants are limited to 1 application per recruitment season
Once your application has been submitted, you will be unable to apply to any additional EMEA programs.

6329

Europe, Middle East & Africa
United Kingdom
London
Global Risk Program
Summer internship
Analyst

Global Markets & Financial Risk, Summer Analyst

London, UK

 

Job Description & Program Overview

Global Risk Management is responsible for protecting the company through independent, objective oversight of risk, we effectively manage risk and reward for each of the company's major lines of business.


The Risk teams provide direct support to the lines of business and are responsible for establishing risk management policies, limits, standards, controls, metrics and thresholds within the defined corporate standards. They also set enterprise policies, programs and standards; assess program adherence; and provide enterprise level risk oversight, reporting and monitoring for systemic risk issues

 

Your training and development is our top priority with extensive formal training offered at the start of the program in addition to on the job support, educational speaker events and mentorship throughout.

 

As a Markets and Financial Risk Intern, you will be provided with the opportunity to work on various tasks necessary for the management of market and financial risk, enterprise risks and other types of risk. You will also have the opportunity to gain exposure to products traded, including: credit products, interest rates, foreign exchange, equities and commodities, together, with a wide range of derivative products.

 

As a summer analyst, your key tasks and responsibilities may include but are not limited to:

  • Supporting the lines of business to establish risk management policies, limits, standards, controls, metrics and thresholds, with the defined corporate standards
  • Working with Risk Managers manage the company's market risk exposures arising from its trading operations
  • Work on value at risk, stress and various other risk metrics used in the management of the trading business, together with ad-hoc qualitative and quantitative risk assessments
  • Promoting a culture across the company where risk management is embraced as vital to achieving responsible growth

 

Qualifications

  • Candidates are required to be pursuing a Bachelors or Master's degree from an accredited college or university, with a graduation timeframe between June 2021 and June 2022
  • On track for a minimum 2:1 degree classification (or equivalent) ideally in a numerical discipline such as; Mathematics, MORSE, and Economics
  • A Master’s degree may also be beneficial
  • Fluency in English is essential for all roles and a second language may also be advantageous
  • Team-working leadership and problem solving skills are key qualities along with the proven ability to work in a fast paced environment with a variety of people
  • Communicates with Impact: Influences decisions and outcomes through effective communication
  • Has a drive for operational excellence and a commitment to achieving sustainable results
  • Applies critical thinking
  • Demonstrates integrity and ethics by earning other’s trust and respect through consistent honesty and professionalism in all interactions

  

Our Commitment to Conduct and Environmental, social and governance (ESG)

Good conduct and sound judgment is crucial to our long term success. It’s important that all employees in the organization understand the expected standards of conduct and how we manage conduct risk. Individual accountability and an ownership mindset are the cornerstones of our Code of Conduct and are at the heart of managing risk well.

 

For more information on our commitment to ESG, visit about.bankofamerica.com

 

Analyst Internship and Full time recruiting takes place on a rolling basis once applications open. Assessments often begin before the deadline, so it is best to submit your application early and not waiting until the deadline.

 

We are an equal opportunities employer, and ensure that no applicant is subject to less favorable treatment on the grounds of gender, gender identity, marital status, race, color, nationality, ethnic or national origins, age sexual orientation, socio-economic background, responsibilities for dependents, physical or mental disability. The Bank selects candidates for interview based on their skills, qualifications and experience.

 

What if I need workplace adjustments?

 

Bank of America is committed to ensuring that our online application process provides an equal employment opportunity to all job seekers.  If you believe you may need a workplace adjustment in order to search for a job opening or completing an application including video interview, please contact us by emailing juniortalentemea@bofa.com. A response to your request may take up to two business days. 

 

We offer a competitive Salary and Benefits package

 To be updated following Kate’s review

November 6 2020

This Program is closed to applications.