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Debt Fund Management Analyst Intern

Stage 4 à 6 mois

Milano (Italy)

Publiée le 22 mai 2026

  • Contrat

    Stage 4 à 6 mois

  • Lieu

    Milano (Italy)

  • Date de début

    Dès que possible

  • Salaire

    Information non renseignée

  • Télétravail

    Non spécifié

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Job Description

We are looking for young talents motivated to enrich their professional curriculum through an interesting experience as Debt Fund Management Analyst Intern in the Debt Fund Management Team of Generali Real Estate SGR.

During the Internship you will have the opportunity to support the team in the following activities:
  • Support the Debt Fund Management Team in the Due-Diligence process toward the Transaction Team
  • Support the Debt Fund Management Team within the financial analysis and the verification activity of Funds Real Estate valuation
  • Collaborate with Asset Management team with specific focus on different projects
  • Support in the preparation of business plan, cash flow, presentations and reports
  • Assist in the activity of Portfolio monitoring, managing the definition and review of Funds strategies


Requirements

Don't hesitate to apply if you have the following requirements:
  • Degree in Business Administration or a related field
  • Excellent use of the Office suite (Excel, Power Point)
  • Analytical and problem solving attitude
  • Detail-oriented with the ability to manage multiple tasks simultaneously
  • Fluency in Italian and English languages


What could make the difference?
  • High interest on Real Estate fields, Master's degree in Real Estate is a plus
  • Focus on team working, collaboration and support of colleagues, maintaining a positive approach to situations
  • Flexibility and adaptability to different situations and approach
  • Proactive mindset with a strong desire to learn and contribute to the team


Company Profile

Generali Real Estate

Generali Real Estate is one of the world's leading real estate managers, with approximately €37.1 billion in assets under management in Q3 2025 and operating units in the main European cities. Its integrated business model covers the entire real estate value chain. A series of cross-border investment vehicles, established by Generali Investments Luxembourg S.A. and managed by Generali Real Estate S.p.A. Società di gestione del risparmio as investment manager, aims to create long-term value by investing in assets characterised by good location, high liquidity and excellent underlying leasing fundamentals.

Generali Real Estate, Generali Real Estate SGR S.p.A. and Generali Investments Luxembourg S.A. are part of Generali Investments, a platform of asset management firms delivering a portfolio of specialist capabilities with €632.2 billion under management and more than 2,200 employees (source: Generali Investments Holding S.p.A., data as at end of Q2 2025, net of double counting).

Generali is proud to be an inclusive employer that considers applicants regardless of gender, gender identity, sexual orientation, ethnicity, disability, religion, political views, marital status or philosophy of life.

If you have a disability or special need that requires accommodation or assistance we will support you during the selection process.

Date limite de candidature

Tant que l’offre est en ligne

Niveau d'étude

Niveau Master, MSc ou Programme Grande Ecole

Fonction

Gestion d'actifs

Plus d’infos sur l’entreprise

Generali Italia

Grande entreprise