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Fixed Income Portfolio Internship

Stage 4 tot 6 maanden

Trieste (Italy)

Gepubliceerd op 3 juni 2026

  • Contract

    Stage 4 tot 6 maanden

  • Locatie

    Trieste (Italy)

  • Startdatum

    Zo snel mogelijk

  • Loon

    Informatie niet verstrekt

  • Thuiswerken

    Niet gespecificeerd

Generali Italia illustration
Job Description

The Fixed Income unit is responsible for analysing and selecting fixed income financial instruments, as well as coordinating and overseeing all portfolio management activities related to LDI investments, including the implementation of tactical asset allocation. It ensures the smooth and efficient management of the portfolios under its remit by carrying out all necessary operational activities in line with guidelines, prospectuses, regulations, and defined targets. The unit performs ex-ante assessments of investment decisions, with particular attention to compliance with limits and to all preliminary checks required before order pre-allocation-such as conflict-of-interest verification, suitability assessments, and related-party checks. It manages the pre-allocation and notification of orders to the Trading Desk for instruments within its scope and analyses ex-post results, including performance, volatility, and tracking error, leveraging the analyses produced by the Risk Management function.

The unit maintains documentary evidence of the main and most significant selection decisions to ensure full traceability. In collaboration with the structure dedicated to derivative investments, it defines the strategy for investing in derivative instruments with fixed income underlyings. It also produces reports and documentation on the managed portfolios as requested by the Head of the LDI structure, provides investment comments and proposals for both internal and external purposes, and contributes comments to the relevant Investment Committee materials prepared by the Risk Management function.

The ideal candidate will support the team on the following activities:
  • set up and continued development of a merged web platform consolidating the portfolio optimization tool already present, enhancing its capabilities and functions
  • working on automating data feeds to the tool from multiple sources
  • preparing technical documentations on the underlying optimization techniques
  • perform benchmarking activities on insurance portfolios via their integrations into the optimization tool
  • maintenance and development of portfolio management reporting through Power BI dashboards
  • implementation of new automation projects and support on special top down driven projects/requests


Requirements

  • Degree in Economics or Finance or quantitative related fields (Financial Engineering, Quantitative Finance preferred)
  • Fluency in English (written and spoken)
  • Solid analytical, quantitative, and IT skills, excellent knowledge of Python and VBA, familiarity with other object oriented programming languages is a plus
  • A basic but solid knowledge of financials markets, especially Fixed Income, and macroeconomics
  • Proficiency in Office tools


Nice to have:
  • Knowledge of an additional foreign language (German or French preferred)
  • Familiarity with major financial data platforms (Bloomberg, Reuters)
  • Exposure to BQuant and Bloomberg PORT
  • Experience with optimization algorithms and/or ML/NLP techniques
  • Strong interpersonal skills and the ability to work effectively in an international team
  • Flexibility and adaptability in dynamic environments


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.

Uiterste sollicitatiedatum

Zolang de vacature online is

Opleidingsniveau

Master-niveau of gelijkwaardig

Jobdomeinen

Asset Management

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Generali Italia

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