Morgan Stanley

Morgan Stanley Internship Program | Internship Alert | Latest Internship in Mumbai 2022 – Career Height

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Morgan Stanley Internship Program | Internship Alert | Latest Internship in Mumbai 2022 - Career Height

Morgan Stanley Internship Program | Internship Alert | Latest Internship in Mumbai 2022 – Career Height

About Company

From their origins as a small Wall Street partnership to becoming a global firm of more than 60,000 employees today, Morgan Stanley has been committed to clients and communities for 85 years. Everything we do at Morgan Stanley is guided by our five core values: Do the right thing, put clients first, lead with exceptional ideas, commit to diversity and inclusion, and give back. Morgan Stanley leadership is dedicated to conducting first-class business in a first-class way. Our board of directors and senior executives hold the belief that capital can and should benefit all of society.

The global presence that Morgan Stanley maintains is key to our clients’ success, giving us keen insight across regions and markets, and allowing us to make a difference around the world. Morgan Stanley is differentiated by the caliber of our diverse team. Our culture of access and inclusion has built our legacy and shapes our future, helping to strengthen our business and bring value to clients. Our firm’s commitment to sustainability informs our operations, governance, risk management, diversity efforts, philanthropy and research.

At Morgan Stanley, giving back is a core value—a central part of our culture globally. We live that commitment through long-lasting partnerships, community-based delivery and engaging our best asset—Morgan Stanley employees. As a global financial services firm, Morgan Stanley is committed to technological innovation. We rely on our technologists around the world to create leading-edge, secure platforms for all our businesses.

2022 Fixed Income Division – Research Spring/Fall Intern Program (Mumbai)

Job description

Fixed Income strategists analyze a broad cross section of asset classes including Interest Rates, Corporate Credit, Municipals, Foreign Exchange, Emerging Markets and Securitized Products to identify key macro trends and relative value within and across the asset classes and help our clients in their investment process.

About Research Strategy Internship

The Spring Program is a 6-month internship program designed as an opportunity to learn more about the important role that Fixed Income Research plays within the Firm. This structured program is designed to give interns insight into this division and an opportunity to develop and master the analytical, quantitative, and interpersonal skills needed to develop an exciting and rewarding career. The training will continue
throughout the course of the program with structured learning sessions run by senior executives. 2 Interns will also have many opportunities to integrate with peers and senior colleagues through a series of networking, social, and mentoring events.

Responsibilities

  • Work with fixed income research strategists globally to develop and maintain data analysis infrastructures.
  • Acquire, clean, maintain, and analyze data sets to identify trends and patterns.
  • Develop quantitative models using econometrics and machine learning algorithms.
  • Build web applications to monitor market movements and develop interactive tools to make quantitative models user friendly.
  • Respond to bespoke data analysis requests from clients and internal stake holders.
  • Automate delivery of reports and data-packs to clients

Eligibilities

  • Master’s degree or higher in a quantitative field such as Financial Mathematics,
  • Statistics, Data Science, Engineering, Physics, or Economics.
  • Experience with statistical model development, modeling best practices and methodologies in the areas of data processing, sampling, model design/specification.
  • Hands on experience in any programing language (Python, C++, Q, Perl, JavaScript).
  • Excellent verbal, written, and interpersonal communication skills.
  • Genuine interest and understanding of financial markets.
  • Analytical, insightful, quick learner, team player, and multi-tasker with a positive attitude

Аррly Link is given belоw jоin us fоr Reсent Uрdаte

2022 Risk Management – Risk Analytics Spring Analyst Program (Mumbai)

Job description

Morgan Stanley’s Risk Analytics department that resides within Firm Risk Management (FRM) performs quantitative analysis on the Firm’s credit, market, operational, and liquidity risk exposures. The department’s primary objective is to measure and project risks across the Firm to support executive decisions and protect the Firm. Risk Analytics has main presence in New York and London and attracts talent in Budapest and Mumbai

Risk Analytics team in Mumbai is part of the Market Risk Analytics and Scenario Analytics teams of the firm. The Market Risk Analytics team is a methodology team responsible for development, enhancement, and periodic updates of risk models for the firm’s portfolios for Market Risk department. The Scenario Analytics team is a methodology team responsible for scenario design, macroeconomic forecasting, and market shock generation for business as usual (BAU) and regulatory stress testing exercises (e.g. CCAR and DFAST) conducted by the whole firm

About Research Strategy Internship

Summer Analysts are integrated into teams in Risk Management and are expected to take on responsibilities of full-time analysts. Placement will be determined by aligning your skillset and interests with our business needs. We are committed to provide opportunities to develop key competencies necessary for a successful career within Risk Management. Managers are committed to provide meaningful and challenging projects that can be implemented and incorporated into our day-to-day activities. Risk Management professionals are focused on developing and training summer analysts to ensure a successful internship experience

Responsibilities

  • Model Development: Participate in developing and enhancing tools and methodologies to quantify risks for business as usual and stress testing purposes.
  •  Risk Monitoring: Assist in day-to-day risk management of our market, credit, operational or liquidity risk exposures by providing independent analysis of business activities and establishing processes to monitor these risks.
  • Model Risk Management: Learn about the Firm’s governance framework for models used in all divisions and assist in reviewing and validating various types of models.
  • Reporting: Develop innovative reporting on risk exposures and metrics to support leadership decisions.
  • Risk Projects: Contribute to key projects to establish and maintain strong risk processes and infrastructure, using project management best practices.
  • Regulatory Programs: Work with teams within Risk and across the Firm to drive key regulatory initiatives including rule implementation, regulatory exam and relationship management, remediation, and governance.

The projects are presented to senior management, alongside getting a firsthand experience of working on a project from inception to delivery.

Eligibilities

  • Strong interest in risk management.
  • Excellent verbal and written English communication skills.
  • Intellectually curious and enjoy learning.
  • Demonstrate leadership, inter-personal skills, and are a team player.
  • Attention to detail, analytical and problem-solving skills, and ability to understand and evaluate complex information quickly.
  • Ability to manage dynamic priorities

Аррly Link is given belоw jоin us fоr Reсent Uрdаte