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Portfolio Risk Management Internship Jobs in Iowa

VP Credit Risk Management

Clive, IA · On-site

$186K - $218K/yr

This role provides strategic direction to optimize portfolio performance while mitigating risk ... Portfolio Management & Analytics • Monitor and report on Key Indicators (KIs); such as auto ...

VP Credit Risk Management

Clive, IA · On-site

$186K - $218K/yr

This role provides strategic direction to optimize portfolio performance while mitigating risk ... Portfolio Management & Analytics • Monitor and report on Key Indicators (KIs); such as auto ...

VP Credit Risk Management

Clive, IA · On-site

$186K - $218K/yr

This role provides strategic direction to optimize portfolio performance while mitigating risk ... Portfolio Management & Analytics • Monitor and report on Key Indicators (KIs); such as auto ...

Support strategic initiatives, new product reviews, and evolving portfolio strategies What We're Looking For: * 10+ years of progressive experience in credit risk management within financial services ...

Credit Risk Analyst

Des Moines, IA · Hybrid

$59K - $70K/yr

Understanding of credit risk principles, portfolio management concepts, and risk assessment methodologies. * Strong analytical, problem-solving, and written communication skills. * Proficiency in ...

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Portfolio Risk Management Internship information

What is a portfolio risk management internship?

A Portfolio Risk Management Internship is a temporary position, often for students or recent graduates, focused on supporting the risk management activities of an investment portfolio. Interns typically assist in analyzing financial data, identifying potential risks, and helping develop strategies to mitigate those risks within a portfolio of assets. This role provides hands-on experience with risk assessment tools, exposure to financial markets, and insights into how investment decisions are made. Interns may work closely with portfolio managers, analysts, and risk professionals to understand and manage the balance between risk and return.

What types of projects and responsibilities can I expect during a portfolio risk management internship?

As a Portfolio Risk Management intern, you can expect to assist with analyzing financial data, identifying potential risks to investment portfolios, and supporting the development of risk mitigation strategies. Interns often work closely with senior analysts and portfolio managers, using quantitative tools to assess market and credit risk exposures. You may also help prepare risk reports and participate in meetings where findings are discussed. This hands-on experience offers valuable insight into how risk management decisions are made within investment teams.

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

To thrive as a Portfolio Risk Management Intern, you need strong quantitative analysis skills, a background in finance or economics, and proficiency in data interpretation. Familiarity with risk management software, Excel, and statistical tools such as Python or R is highly valued, along with coursework or certifications in risk or investment management. Attention to detail, problem-solving abilities, and effective communication are important soft skills for collaborating with teams and presenting findings. These skills ensure accurate risk assessment, informed decision-making, and valuable support to the portfolio management process.

What is the difference between Portfolio Risk Management Internship vs Portfolio Risk Analyst?

AspectPortfolio Risk Management InternshipPortfolio Risk Analyst
CredentialsTypically pursuing or recent graduate, some finance or risk-related courseworkBachelor's or master's in finance, economics, or related field; relevant certifications preferred
Work EnvironmentInternship setting, supervised, entry-level tasksFull-time professional role, responsible for analyzing and managing risk
Employer & IndustryFinancial firms, asset managers, banksFinancial institutions, investment firms, asset management companies
Search & Comparison IntentEntry-level, internship opportunities, learning rolesFull-time career positions, risk analysis roles

The main difference is that a Portfolio Risk Management Internship is an entry-level, temporary position designed for students or recent graduates gaining exposure to risk management. In contrast, a Portfolio Risk Analyst is a full-time professional responsible for ongoing risk assessment and management within financial firms. Internships often serve as a stepping stone toward a full analyst role.

What are popular job titles related to Portfolio Risk Management Internship jobs in Iowa?

For Portfolio Risk Management Internship jobs in Iowa, the most frequently searched job titles are:

What cities in Iowa are hiring for Portfolio Risk Management Internship jobs?

Cities in Iowa with the most Portfolio Risk Management Internship job openings:

Infographic showing various Portfolio Risk Management Internship job openings in Iowa as of August 2026, with employment types broken down into 2% As Needed, 82% Full Time, 14% Part Time, and 2% Contract. Highlights an 84% Physical, 3% Hybrid, and 13% Remote job distribution.

Full-time

Re-posted 20 days ago


Job description

As a Portfolio Manager you will contribute to and support the management of the investment strategies and portfolios of Venerable. This includes understanding all aspects of the investment portfolio, analyzing investment strategies, advising and interfacing with external Investment Managers as well as internal Venerable Finance, Risk, Investment Operations, Treasury, and Actuarial teams, and supporting the Head of Investment Management's direct relationship with senior executives. The incumbent will assume specific portfolio management responsibility for fixed income investments, with an emphasis on structured and securitized asset classes, portfolio construction, credit oversight, liquidity management, and asset-liability management within an insurance company framework.Specific responsibilities are as follows:
1. Contribute to and lead the management of the investment portfolios of Venerable:
  • Maintain day-to-day relationships with and provide guidance to external investment managers responsible for Venerable investment portfolios.
  • Assume portfolio management responsibility and ownership for a segment of the investment portfolio, with a focus on structured and securitized fixed income investments, including ABS, RMBS, CMBS, CLOs, and other structured credit sectors.
  • Contribute to and lead the development of strategic and tactical asset allocation recommendations supporting Venerable products and liability profiles.
  • Contribute to and lead the analysis, management, and oversight of fixed income asset classes and holdings, including identification, recommendation, and implementation of investment opportunities.
  • Perform in-depth credit analysis and surveillance of fixed income and structured asset exposures.
  • Leverage analytical platforms such as Bloomberg, Intex, Aladdin, and other portfolio analytics tools.
  • Contribute to and lead Venerable's liquidity management activities.
  • Manage compliance with Investment Management Agreements, Investment Guidelines, and Investment Policies.
  • Interface with Risk, Investment Operations, Treasury, Finance, Actuarial, and Investment Accounting teams.
  • Interface with Venerable senior management to provide investment analysis and recommendations.

2. Manage and/or lead the Venerable Investment Management team in performing other key Venerable functions:
  • Maintain a strong understanding of product liability structures, asset-liability management requirements, and legal entity considerations.
  • Demonstrate understanding of investment income, earnings, capital, and other financial metrics.
  • Analyze portfolio cash flows, duration, spread risk, liquidity, and ALM considerations.
  • Report on portfolio performance, investment activity, and risk exposures.
  • Partner with external investment managers to understand, manage, and monitor risks and opportunities.
  • Contribute to committee, management, and board reporting.
  • Provide guidance on portfolio transactions and investment recommendations.

3. Contribute to the partnership with Risk Management to analyze risk, ALM, and hedging strategies.
  • Evaluate portfolio risk exposures across interest rate, spread, liquidity, and structured credit sectors.
  • Assess interaction between investment portfolios, liabilities, and enterprise risk objectives.
  • Participate in analyses supporting hedging strategies and risk mitigation initiatives.
4. Obtain knowledge concerning industry and peer activities and trends relating to insurance investment portfolios.
  • Monitor developments in structured credit markets, insurance asset management practices, regulatory frameworks, and capital treatment of investments.
  • Demonstrate understanding of implications for Venerable's portfolios and business strategy.
  • Mentor junior investment professionals and contribute to team development.

Key Qualifications:
  • Bachelor's degree in Business, Finance, Risk Management, Actuarial Science, Economics, Data Analytics, or related field.
  • Minimum 7 years of fixed income investment experience.
  • Strong experience analyzing and managing structured or securitized assets including ABS, RMBS, CMBS, and CLOs.
  • Demonstrated knowledge of fixed income instruments, credit analysis, portfolio management, derivatives, ALM, insurance regulations, and capital frameworks.
  • Strong understanding of fixed income markets and risk measures including duration and OAS.
  • Advanced understanding of structured finance cash flow analysis.
  • Knowledge of insurance investment portfolio management; variable annuity experience is a plus.
  • Experience with Bloomberg, Intex, Aladdin, or similar systems.
  • CFA, progress toward CFA, MBA, or similar designation preferred.
  • Highly analytical with strong communication and problem-solving skills.
  • Ability to deliver results under pressure and manage multiple priorities.
  • Strong collaboration and stakeholder management skills.
  • Well versed in Microsoft Office applications, particularly Excel and PowerPoint.
#LI-DP1#greaterphiladelphia#hybrid

Venerable Values:

Every position at Venerable has responsibility for living out the company's values as described here:

We are Courageous - We think critically, ask "why?" and seek out creative solutions.

We are Curious - We take calculated risks, learn from out failures, and challenge traditional ways of thinking.

We are Connected- We are connected to each other, our customers and our community.

Please note: The use of AI tools (such as ChatGPT or similar platforms) during interviews is not permitted without the prior approval of Venerable, as the use of such tools may interfere with company confidentiality, misrepresent a candidate's skills and experience or otherwise conflict with Venerable's hiring policies. If you are selected for an interview and a reasonable accommodation is needed, please notify the Venerable Human Resources recruiter aligned to the open position in which you are interviewing for.

If Venerable, in its sole discretion, determines that AI is being used during an interview without prior approval, Venerable reserves the right to end the interview early and/or disqualify a candidate.