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Financial Risk Management Intern Jobs in Virginia

Minimum of 10 years of risk management, finance, power supply, investment, or derivative trading and/or accounting, relevant experience. * Utility or energy sector experience preferred. * Experience ...

Director, Risk Management

Arlington, VA

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

  • PTO

Title: Director, Risk Management We are KBR When you become part of our KBR team, your ... We are Finance We are strategic partners to the business, providing financial leadership and ...

Directs the organization's Risk Management Program and protects the organization's financial assets through proactive processes designed to reduce the probability of adverse events and to reduce the ...

Directs the organization's Risk Management Program and protects the organization's financial assets through proactive processes designed to reduce the probability of adverse events and to reduce the ...

Risk Management Certifications [Certified Risk Management Assurance (CRMA), Certified Risk Management Professional (CRMP), Certified Regulatory Compliance Manager (CRCM), Certified Financial Risk ...

Risk Management Certifications [Certified Risk Management Assurance (CRMA), Certified Risk Management Professional (CRMP), Certified Regulatory Compliance Manager (CRCM), Certified Financial Risk ...

Risk Management Certifications [Certified Risk Management Assurance (CRMA), Certified Risk Management Professional (CRMP), Certified Regulatory Compliance Manager (CRCM), Certified Financial Risk ...

Masters Degree * 7+ years of Financial Services risk management experience * 7+ years of experience in Project or Process Management * 5+ years of internal strategy or management consulting ...

Masters Degree * 7+ years of Financial Services risk management experience * 7+ years of experience in Project or Process Management * 5+ years of internal strategy or management consulting ...

Risk Management Analyst

Sterling, VA ยท On-site

$86K - $181K/yr

  • Medical

  • Retirement

  • PTO

Job Title: Risk Management Analyst Job Category: Information Technology Time Type: Full time ... At CACI, you will receive comprehensive benefits such as; healthcare, wellness, financial ...

Showing results 21-40

Financial Risk Management Intern information

What does a financial risk management intern do?

A Financial Risk Management Intern supports the risk management team by analyzing financial data, identifying potential risks, and helping to develop strategies to mitigate those risks. Interns may assist with preparing risk reports, monitoring market trends, and using risk assessment tools. This role often provides hands-on experience with financial modeling, regulatory compliance, and internal controls. The position is ideal for students or recent graduates interested in learning about risk management processes within financial institutions or corporations.

What are the key skills and qualifications needed to thrive as a financial risk management intern, and why are they important?

To thrive as a Financial Risk Management Intern, you need strong analytical skills, knowledge of finance principles, and coursework or a degree in finance, economics, or a related field. Familiarity with risk analysis tools, Microsoft Excel, and sometimes financial modeling software like SAS or Python is highly valued. Attention to detail, effective communication, and eagerness to learn are standout soft skills for this position. These skills enable interns to accurately assess risk, support senior analysts, and contribute meaningfully to risk mitigation strategies.

What is the difference between Financial Risk Management Intern vs Credit Risk Analyst Intern?

AspectFinancial Risk Management InternCredit Risk Analyst Intern
Required CredentialsTypically pursuing finance, economics, or related degreeSimilar educational background, often with coursework in credit analysis
Work EnvironmentFinancial institutions, banks, or investment firmsBanking, lending institutions, or credit agencies
Employer & Industry UsageUsed in risk management departments across finance sectorsCommon in credit departments focusing on loan risk assessment
Comparison Search IntentUnderstanding risk management roles in financeFocusing on credit risk specific roles

Both roles involve analyzing financial data and assessing risks, but a Financial Risk Management Intern has a broader focus on overall financial risks, while a Credit Risk Analyst Intern specializes in credit and loan risk assessment. The choice depends on your interest in general risk management versus credit-specific analysis within the finance industry.

What are the most commonly searched types of Financial Risk Management jobs in Virginia?

The most popular types of Financial Risk Management jobs in Virginia are:

What cities in Virginia are hiring for Financial Risk Management Intern jobs?

Cities in Virginia with the most Financial Risk Management Intern job openings:

Enterprise Risk Manager

ODEC

Glen Allen, VA โ€ข On-site

Full-time

Re-posted 29 days ago


Job description

Purpose of Job
The Enterprise Risk Manager is responsible for identifying, evaluating, and mitigating operational and financial risks across the organization, with a primary focus on energy trading and market risk activities. This role oversees trading agreement risk, counterparty credit risk, and trading control risk through the use and oversight of services provided by a trading and risk management company.
This position ensures compliance with ODEC's Energy Risk Management Policy (ERMP) and Energy Risk Management Standards and Procedures (ERMS&P), while supporting broader enterprise risk initiatives across the Finance function. This role assists in organizing and facilitating the Risk Management Committee (RMC) and provides risk insights, analysis, and recommendations to support informed decision-making and organizational risk mitigation.
Essential Responsibilities
Risk Management Operations Functions
  • Monitor and manage risk exposures related to power and natural gas operations, including PJM/RTO activities, collateral adequacy, and market activity.
  • Track natural gas hedging activity and evaluate key market drivers impacting margin settlements.
  • Review collateral thresholds and respond to potential margin calls in coordination with the services provided by a trading and risk management company.
  • Evaluate and monitor counterparty credit risk, including financial health, credit exposure, and compliance with established credit controls.
  • Support credit risk mitigation strategies, including guarantees, prepayments, and letters of credit.
  • Ensure compliance with trading controls, transaction authority limits, and proper trade capture and reporting.
  • Evaluate and escalate or recommend actions on trading activities, credit exposures, and risk limit exceptions.
  • Participate in risk management activities associated with the services provided by a trading and risk management company and PJM.
  • Prepare, review, and present risk management reports and analyses to leadership and the RMC.
  • Monitor compliance with regulatory requirements, including CFTC Dodd-Frank rules.
  • Support and administer enterprise risk assessments.
  • Performs other duties as assigned.

Risk Compliance
  • Maintain and update SOX-related risk processes and documentation.
  • Review SOC 1 Type II reports for services provided by a trading and risk management company and other key partners.
  • Ensure appropriate internal controls are documented and functioning.
  • Communicate with counterparties concerning "Know Your Customer" and other risk-related questions and initiatives.

Insurance Program Support
  • Develop working knowledge of ODEC's property and liability insurance programs.
  • Assist with maintaining insurance programs.

Additional Responsibilities
  • Collaborate with Treasury on credit exposure and financial risk considerations.
  • Provide general support to the Finance Department initiatives.
  • Participate in company committees and cross-functional initiatives.
  • Lead or contribute to cross-functional efforts.

Work Experience
  • Minimum of 10 years of risk management, finance, power supply, investment, or derivative trading and/or accounting, relevant experience.
  • Utility or energy sector experience preferred.
  • Experience with external service providers supporting energy trading, market operations, or risk management preferred.

Critical Knowledge, Skills, and Abilities
  • Energy trading agreements (ISDA, NAESB, EEI).
  • Energy risk management practices.
  • Energy trading products.
  • Financial and commodities markets.
  • Advanced Excel and Microsoft 365 proficiency.
  • Strong analytical and problem-solving skills.
  • Effective communication and collaboration skills.
  • Ability to interpret complex data.
  • Self-starter with a continuous improvement mindset.
  • Ability to influence without authority.

Preferred Knowledge, Skills, and Abilities
  • PJM market familiarity.
  • SOX and Dodd-Frank knowledge.
  • Risk governance experience.
  • ETRM systems experience.

Education
  • Bachelor's degree in Accounting, Finance, Economics, Business, Risk Management, or a relevant degree.
  • Equivalent experience may be considered.

Travel Details
Occasional travel required (less than 10%).
Working Conditions and Physical Demands
This position operates in a professional office environment and involves routine use of standard office equipment, including computers, phones, and other technology. This role requires the ability to perform general office activities such as sitting for extended periods, working at a computer, and communicating effectively with internal and external stakeholders. Travel for this position is minimal and expected to be less than 10%, consisting of occasional meetings or visits to company facilities. Requires focus on analytical tasks.
Equal Opportunity Employer
This employer is required to notify all applicants of their rights pursuant to federal employment laws. For further information, please review the Know Your Rights notice from the Department of Labor.