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Portfolio Risk Management Internship Jobs in Baton Rouge, LA

Software Engineer

Baton Rouge, LA ยท On-site

$55K - $70K/yr

... risk of cyber breaches and demonstrate compliance. TraceSecurity offers a comprehensive portfolio of solutions that allow organizations to manage their information security program and supplement it ...

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Portfolio Risk Management Internship information

See Baton Rouge, LA salary details

$2K

$6.2K

$7.5K

How much do portfolio risk management internship jobs pay per month?

As of May 30, 2026, the average monthly pay for portfolio risk management internship in Baton Rouge, LA is $6,183.42, according to ZipRecruiter salary data. Most workers in this role earn between $4,241.67 and $7,358.33 per month, depending on experience, location, and employer.

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 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 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 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 Baton Rouge, LA? For Portfolio Risk Management Internship jobs in Baton Rouge, LA, the most frequently searched job titles are:
What job categories do people searching Portfolio Risk Management Internship jobs in Baton Rouge, LA look for? The top searched job categories for Portfolio Risk Management Internship jobs in Baton Rouge, LA are:
What cities near Baton Rouge, LA are hiring for Portfolio Risk Management Internship jobs? Cities near Baton Rouge, LA with the most Portfolio Risk Management Internship job openings:

Deputy Chief Risk Officer

Investar Bank National As

Baton Rouge, LA โ€ข On-site

Full-time

Posted 28 days ago


Job description


Job Function โ€“
Supports the Chief Risk Officer (CRO) by managing enterprise-wide risk, overseeing risk frameworks, developing policies, monitoring Key Risk Indicators, reporting to Board and Management, and implementing strategies that align with Investar Bankโ€™s risk appetite to achieve strategic goals. The Deputy Chief Risk Officer often acts as the Chief Risk Officerโ€™s second in command.

Job Responsibilities โ€“

Supports CRO in tactical and strategic management of the Enterprise Risk Management (ERM) Program.

Coordinates the development or revisions of policies, procedures and agreements to ensure compliance with regulatory processes, ensuring that deviations from policy are corrected and reported.

Supports areas of responsibility with regulatory management activities including exam readiness processes, exam preparation, evidence management and regulatory communications

Supports the CRO in establishing and continuously maturing the company's Enterprise Risk Management Program strategy, programs, functions, processes, staffing models, strategic roadmaps and other related program management functions.

Works closely with business units to design and implement risk mitigation strategies and controls to reduce the likelihood of identified risks.

Drives technology and innovations to support risk and compliance reporting enhancements and efficiencies.

Supports the CRO in directing the company's annual Risk Assessment Program that includes conducting annual risk assessments, executive risk reporting, risk appetite development with the Board of Directors, risk mitigation strategy development and ongoing risk monitoring through Key Risk Indicator (KRI) development and reporting.

Monitors and reports on a broad range of advanced risk measures (such as stress testing, value-at-risk, risk factor sensitivity analysis, and other measures) to enable the risk management department to have a comprehensive understanding of risk positions, market conditions and the impact of new initiatives.

Manages and supports various enterprise risk programs, including Model Risk Management, Third Party Risk Management, Data Governance, and Business Continuity/Disaster Recovery.

Develops methods to quantify and measure various types of risks and use these quantitative models and tools to estimate potential losses and assess risk exposures.

Stays current with regulatory requirements and ensure Investar Bank's risk management practices align with the applicable laws and regulations.

Acts as second-in-command to the Chief Risk Officer, functioning as a Chief Risk Officer for the company when that authority is delegated.

All other duties as assigned.

Education and Related Experience โ€“

โ€ข Bachelorโ€™s degree in a related field or equivalent combination of coursework and work experience.

โ€ข Minimum of 7+ yearsโ€™ progressive experience in risk management, analysis and regulatory practice within banking or the financial services industry.

โ€ข OCC Regulatory or Financial Services Consulting experience desired

โ€ข MBA or other professional certifications such as FRM, PRM or CRCM are encouraged

Skills and Abilities โ€“

โ€ข Must possess strong communication, analytical, negotiation and presentation skills.

โ€ข Must be proficient at MS Office products such as Excel, Access, Power BI and PowerPoint

โ€ข Must have strong knowledge of portfolio management concepts and โ€œbest practicesโ€ in risk

management methods, i.e., value-at-risk and stress testing and in the use of advanced quantitative techniques, such as, but not limited to, Monte Carlo simulation, optimization, stochastic processes, term structure modeling, and econometrics.

โ€ข Must have the ability to independently formulate and draft balanced, well-reasoned recommendations and to present such recommendations persuasively to senior management.

Working Conditions and/or Physical Requirements โ€“

โ€ข Ability to work under stress and meet deadlines.

โ€ข Ability to operate a keyboard if required performing the essential job functions.

โ€ข Ability to read and interpret a document.

โ€ข Ability to travel if required to perform the essential job functions.

โ€ข Ability to lift/move/carry approximately 20 pounds if required to perform the essential job functions. If the employee is unable to lift/move/carry this weight and can be accommodated without causing the department an โ€œundue hardshipโ€ then the employee must be accommodated; hence, omitting lifting as a physical requirement.

Equal Opportunity Employer/Veterans/Disabled