2025 Masters of Financial Engineering - Global Markets Summer Associate Program - New York- H/F/X
Posted 2025-03-14About the position
The Masters of Financial Engineering - Global Markets Summer Associate Program at Soci?t? G?n?rale is designed for highly motivated individuals seeking to develop exceptional careers within the finance industry. This 10-week program, running from June to August, offers interns the opportunity to gain extensive experience across multiple desks involved in market-making for a broad spectrum of financial products, including Fixed Income, Equities, and Commodities. Interns will develop a deep understanding of Capital Markets operations and experience firsthand the management of global risk and capital flows. Participants will gain a comprehensive understanding of the diverse investment strategies utilized by major market participants, including global banks, hedge funds, insurers, pension funds, real money managers, and corporate accounts. They will learn the methodologies employed for valuing typical traded products and immerse themselves in a dynamic and high-energy trading floor environment at a leading global bank with approximately $1.6 trillion in assets. Interns will assess value-at-risk figures to determine risk levels associated with the investment strategies of prime brokerage clients and evaluate hedging strategies and risk exposures for trading desks. The program includes a firmwide orientation to Soci?t? G?n?rale's businesses, followed by formal classroom training on the Global Banking and Advisory business. Interns will benefit from ongoing networking and development opportunities inside and outside their assigned team, mentorship opportunities, and the option to shadow members of various teams across the bank. The program also emphasizes collaboration among fellow interns and participation in events hosted by Employee Resource Groups, which champion the bank's Diversity & Inclusion initiatives.
Responsibilities
? Acquire extensive experience across multiple desks involved in market-making for financial products.
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? Develop a deep understanding of Capital Markets operations and management of global risk and capital flows.
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? Gain a comprehensive understanding of diverse investment strategies utilized by major market participants.
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? Learn methodologies for valuing typical traded products.
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? Assess value-at-risk figures to determine risk levels associated with investment strategies.
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? Evaluate hedging strategies and risk exposures for trading desks.
Requirements
? Master's degree in Finance or related field.
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? Interest in financial markets, problem solving, and quantitative analytics.
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? Strong academic accomplishments.
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? Ability to work collaboratively in a team environment.
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? Adaptability, innovative thinking, energy, and enthusiasm.
Nice-to-haves
? Experience in financial markets or trading environments.
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? Familiarity with risk management concepts and methodologies.
Benefits
? Weekly Lunch & Learns with Senior Management.
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? Ongoing networking and development opportunities.
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? Mentorship opportunities within the SG community.
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? Access to shadow members of various teams across the bank.
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? Participation in Diversity & Inclusion events and training.
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