Launch Your Risk Career: 10-Week Summer Analyst

Bank of America

United States

On-site

USD 20,000 - 30,000

Full time

14 days+
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Benefits offered by this job

Internship mentorship program
Networking events
Community service opportunities
Educational speakers and events

Job summary

Bank of America is offering a 10-week Global Risk Development Internship Program for students in the United States. Interns will gain insights into the bank's relationships with regulators and learn how to identify and mitigate risk factors. Candidates should be currently enrolled in relevant undergraduate programs with a preferred GPA of 3.2 or higher.

This program emphasizes skill development in various types of risk, including strategic, market, credit, compliance, liquidity, operational, and reputational risks.

Qualifications

  • Candidates should be enrolled in an undergraduate or accelerated degree program with a graduation date between November 2027 and August 2028.
  • Preferred GPA of 3.2 or higher.
  • Proficiency in Microsoft Office and strong analytical skills.

Responsibilities

  • Engage in a 10-week internship focused on risk management.
  • Participate in mentorship programs and networking events.
  • Assist in understanding the regulatory landscape and managing risk types.

Skills

Intellectual curiosity
Operational excellence
Microsoft Office proficiency
Leadership
Teamwork
Problem solving
Analytical skills
Verbal communication
Written communication
Professionalism

Education

Currently enrolled in an undergraduate or accelerated (4+1) degree program
GPA of 3.2 or higher

Job description

Bank of America is offering a 10-week Global Risk Development Internship Program for students in the United States. Interns will gain insights into the bank's relationships with regulators and learn how to identify and mitigate risk factors. Candidates should be currently enrolled in relevant undergraduate programs with a preferred GPA of 3.2 or higher.

This program emphasizes skill development in various types of risk, including strategic, market, credit, compliance, liquidity, operational, and reputational risks.

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