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Macro & Market Research Analyst Intern

Stage 4 à 6 mois

Milano (Italy)

Publiée le 12 mai 2026

  • Contrat

    Stage 4 à 6 mois

  • Lieu

    Milano (Italy)

  • Date de début

    Dès que possible

  • Salaire

    Information non renseignée

  • Télétravail

    Non spécifié

Generali Italia illustration
Job Description

The Macro & Market Research team's core accountabilities are to analyze the global economy and formulate the Financial Market House View ("top-down approach"),provide macro and financial forecasts and allocation proposals and investment ideas for the portfolio management and for Investment Committees. The team releases various external financial market publications and presentations, including for external client attraction and retention.

Macro & Market Research team is looking for one talented and proactive intern who will support the team on the following activities:
  • Building fair value models for asset prices and automation of data management
  • Support the development of macroeconomic forecasting models using regression and ML techniques.
  • Participation in the writing of internal and external research pieces


Requirements

  • M.Sc. in Economics, Finance or similar - obtained or very close to completion
  • Proficiency in Microsoft Office applications (particularly in Excel)
  • Good knowledge of time series/financial econometrics. Proven proficiency in Python (esp. ML packages) is mandatory. Advanced knowledge of EViews is a strong plus. The candidate would be required to provide code samples and the name of a professor who can be contacted for reference.
  • Basic background in asset pricing.
  • Good communication skills.
  • Fluency in written and spoken English.
  • Excellent interpersonal skills
  • High degree of flexibility and ownership
  • Ability to adapt easily to different environments and situations
  • Outstanding problem-solving and analytical skills


Company Profile

Generali is a major player in the global insurance industry - a strategic and highly important sector for the growth, development and welfare of modern societies. Over almost 200 years, we have built a multinational Group that is present in more than 60 countries, with 470 companies and nearly 80,000 employees. Our Group aims to become the standard bearer and industry leader in the European retail insurance market, building on our existing base of 50 million retail clients, out of an overall total of 72 million.

Generali Asset Management is a European investment specialist, offering a wide range of active funds and bespoke solutions across both public and private markets. Our investment experience is grounded in a solid heritage, with skills that have been developed and honed over time by managing Generali Group and external clients' assets.

Generali Asset Management S.p.A. guarantees a solid framework of services designed to support various asset management activities. Key elements include the provisioning of IT services over all applications underpinning the investment and asset management value chain (Front Office, Trading Desk, Investment Compliance, Middle and Back Office, Analytics and Reporting, etc.) The company also acts as a holding company, retaining share capital in the boutiques and Generali Investments' companies.

Date limite de candidature

Tant que l’offre est en ligne

Niveau d'étude

Niveau Master, MSc ou Programme Grande Ecole

Fonction

Economie

Plus d’infos sur l’entreprise

Generali Italia

Grande entreprise