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What you'll be doing:
Analyze financial data, cash flow projections, and investment returns
Prepare and present detailed reports and presentations for senior management and stakeholders
Assist in financial analysis and risk assessment
Monitor and report on market conditions, economic factors, and competitive landscape
Drive the adoption of AI and machine learning to automate treasury operations, enhance investment modeling, and strengthen risk management
What we need to see:
Pursuing an MBA degree (December 2026 to July 2027 graduation date)
Exceeding strong understanding of corporate finance and 3+ years of prior experience in credit markets, investment management and/or risk management
Ability to work across the organization as well as externally with senior management and members of the financial community
Experience building financial models including AI to improve processes and risk management tools
Positive team chemistry, self-starter, innovator, and track record of success
Ability to incorporate new approaches including and methodologies while dealing with complex data
A balance of deep analytical skills and ability to make quick financial decisions
Proficiency in financial modeling and valuation techniques
Ways to stand out from the crowd:
Experience with quantitative financial modeling including big data analytics and artificial intelligence
Deep understanding of financial markets compliance and regulations
Experience presenting with C-level executives
You will also be eligible for Intern
Applications for this job will be accepted at least until November 2,2025.These jobs might be a good fit