Golding is on a growth trajectory and is looking for an intern (m/f/d) in risk management to join the Finance & Operations team in Luxembourg starting January 2025. This is a great opportunity to gain valuable experience and be part of an expanding, dynamic team.
About the Golding Capital Partners
Golding Capital Partners stands as one of Europe’s foremost independent asset managers, specializing in private equity, private debt, infrastructure, secondaries, and impact investing, managing over €14 billion in assets. Operating within a dynamic and diverse landscape, Golding Capital Partners engages with globally active investors and international investment funds daily. The firm’s corporate philosophy centers on its business partners, who value the highly personalized and expert support provided.
With a dedicated team of over 200 professionals, Golding Capital Partners maintains a strong presence in Munich, Luxembourg, Tokyo, and Zurich, consistently delivering excellence and fostering robust, trust-based relationships.
Responsibilities
- Assist in managing and overseeing the treasury operations at the level of fund companies.
- Contribute to ensuring optimal liquidity management and financial stability for the fund companies.
- Provide support in the borrowing activities of fund companies.
- Monitor the financial health and performance of the fund companies to ensure compliance and efficiency.
- Aid the risk management function in identifying, assessing, and mitigating potential risks.
- Prepare specific analyses and conduct risk measurement activities to support informed decision-making.
- Assist in the valuation processes for direct investments and target funds.
- Conduct detailed evaluations to ensure accurate and reliable valuation actions.
- Provide comprehensive support with various administrative tasks to ensure smooth operations.
- Facilitate efficient documentation and record-keeping to maintain organizational integrity.
Qualifications
- Educational Background: Currently enrolled in at least the fourth semester of university studies, or have already completed a university degree. Preferred fields of study include Economics with a focus on Financial Economics or a comparable discipline.
- Interest and Knowledge: Demonstrates a strong interest in capital markets. Ideally possesses prior knowledge in securities, portfolio management, or risk management.
- Technical Proficiency: Exhibits strong skills and extensive knowledge in MS Office applications, with a particular emphasis on Excel.
- Language Proficiency: Possesses very good spoken and written proficiency in both German and English. Knowledge of French is considered an advantage.
- Analytical and Learning Abilities: Possesses strong analytical skills and demonstrates a high willingness to learn.
- Work Ethic: Enjoys structured, detail-oriented, and self-directed work. Maintains a structured and goal-oriented approach to tasks.
- Skills and Competencies: Exhibits strong analytical and organizational skills. Demonstrates very good communication skills.
- Teamwork and Adaptability: Shows a high degree of teamwork, commitment, and flexibility.
Benefits
- Work Environment: Offers the opportunity to work in a modern, aesthetically pleasing office in Luxembourg, as well as the flexibility to work remotely.
- Innovation and Freedom: Provides the freedom to contribute and implement your own ideas, helping shape the future of our organization.
- Professional Development: Offers targeted professional and personal support to ensure you meet the high standards of our discerning clientele.
- Company Culture: Values open communication and flat hierarchies, fostering a collaborative atmosphere. Hosts regular team events and celebrations to strengthen team cohesion and morale.