1

Portfolio Risk Management Internship Jobs in Boston, MA

The CMIC plays a critical role in protecting the client's people, offices, portfolio companies, and ... Risk Management principles • Experience in business continuity, resilience, and emergency ...

Provide risk leadership and act as the risk management subject matter expert on assigned project, program, portfolio being accountable for the risk management performance on assigned commissions.

Provide risk leadership and act as the risk management subject matter expert on assigned project, program, portfolio being accountable for the risk management performance on assigned commissions.

Showing results 41-60

Portfolio Risk Management Internship information

See Boston, MA salary details

$2.3K

$7K

$8.5K

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

As of Aug 10, 2026, the average monthly pay for portfolio risk management internship in Boston, MA is $6,995.92, according to ZipRecruiter salary data. Most workers in this role earn between $4,800.00 and $8,325.00 per month, depending on experience, location, and employer.

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 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 job categories do people searching Portfolio Risk Management Internship jobs in Boston, MA look for? The top searched job categories for Portfolio Risk Management Internship jobs in Boston, MA are:
What cities near Boston, MA are hiring for Portfolio Risk Management Internship jobs? Cities near Boston, MA with the most Portfolio Risk Management Internship job openings:
Infographic showing various Portfolio Risk Management Internship job openings in Boston, MA as of August 2026, with employment types broken down into 1% As Needed, 83% Full Time, 13% Part Time, and 3% Contract. Highlights an 87% Physical, 3% Hybrid, and 10% Remote job distribution, with an average salary of $83,951 per year, or $40.4 per hour.

Full-time

Medical, Dental, Vision, Life, Retirement, PTO

Re-posted 24 days ago


Job description

About Us

Wellington Management offers comprehensive investment management capabilities that span nearly all segments of the global capital markets. Our investment solutions, tailored to the unique return and risk objectives of institutional clients in more than 60 countries, draw on a robust body of proprietary research and a collaborative culture that encourages independent thought and healthy debate. As a private partnership, we believe our ownership structure fosters a long-term view that aligns our perspectives with those of our clients.

About the RoleJob Description

...........................................................................................................................................................................................................................................................

Overview

Title: Principal Business Analysts

Team: Risk Technology

Location: Boston

...........................................................................................................................................................................................................................................................

The position

The Risk Technology team is responsible for delivering and supporting mission-critical platforms that enable Wellington's Fixed Income investors and the Global Risk & Analytics team to assess, manage, and monitor portfolio risk across a wide range of asset classes. Our flagship risk system supports complex risk modeling, valuation, and scenario analysis, and is central to the firm's risk oversight and decision-making processes.

We are seeking a Principal Business Analyst to drive the evolution and support of this platform. This role requires deep domain expertise in risk management, along with strong analytical and communication skills. The successful candidate will work closely with quantitative analysts, developers, and investment professionals to ensure the platform meets the evolving needs of the business, regulatory requirements, and industry best practices.

...........................................................................................................................................................................................................................................................

RESPONSIBILITIES
  • Act as the lead business analyst for the risk platform, with a focus on risk modeling, valuation, and reporting capabilities.

  • Partner with the Global Risk & Analytics team to understand risk methodologies and translate them into functional and technical requirements.

  • Lead initiatives to enhance risk data quality, model transparency, and system robustness.

  • Collaborate with technology teams to ensure timely and accurate delivery of risk-related features and enhancements.

  • Support production systems and act as a subject matter expert for risk-related inquiries and issue resolution.

  • Coordinate with internal stakeholders and external vendors during testing, validation, and implementation phases.

  • Maintain comprehensive documentation of business requirements, functional specifications, and support procedures.

  • Drive continuous improvement in risk workflows, data integration, and user experience.

...........................................................................................................................................................................................................................................................

Qualifications
  • Minimum 10 years' experience as a business systems analyst in the financial services industry, with a focus on risk management.

  • Practical understanding of financial instruments including stocks, bonds, swaps, options, futures, forwards, asset-backed securities, and mortgages.

  • Strong knowledge of fixed income risk analytics, including duration, convexity, spread measures, and scenario analysis.

  • Practical understanding of derivatives valuation and risk management approaches.

  • Experience working with risk and analytics vendors (e.g., Yield Book, Bloomberg, Point).

  • Exposure to vendor valuation libraries and applications (e.g., Numerix, Calypso, FinCad).

  • Experience with investment data concepts such as holdings, transactions, security master, analytics, and performance.

  • Excellent written and verbal communication skills.

  • Strong analytical and problem-solving skills with high attention to detail.

  • Proven ability to build strong relationships with business partners and drive consensus across teams.

  • Experience writing requirements, functional specifications, use cases, and test plans.

  • Creative, innovative, and focused on continuous improvement.

  • Self-motivated and able to thrive in a fast-paced, result-oriented environment.

  • Ability to work independently and demonstrate ownership of outcomes.

  • Hands-on knowledge of SQL and relational database technology.

  • Working knowledge of Python is a strong plus.

  • Familiarity with Java is a plus.

  • Experience supporting critical production applications.

  • Solid understanding of the software development life cycle.

  • Bachelor's degree required.

  • CFA Institute Claritas Certificate, CFA Charter, or progress toward one is considered an asset.

Not sure you meet 100% of our qualifications? That's ok. If you believe that you could excel in this role, we encourage you to apply and welcome a chance to review your background. We are dedicated to building and maintaining a diversified workforce and considering a broad array of candidates with a variety of skill, workplace experiences, and backgrounds.

As an equal opportunity employer, Wellington Management ensures that all qualified applicants will receive equal consideration for employment without regard to race, color, sex, sexual orientation, gender identity, gender expression, religion, creed, national origin, age, ancestry, disability (physical or mental), medical condition, citizenship, marital status, pregnancy, veteran or military status, genetic information or any other characteristic protected by applicable law. If you are a candidate with a disability, or are assisting a candidate with a disability, and require an accommodation to apply for one of our jobs, please email us at GMWTalentOperations@wellington.com.

At Wellington Management, our approach to compensation is designed to help us attract, inspire and retain the best talent in our industry.We strive to pay employees fairly and competitively across all levels and roles. Our approach to compensation considers all aspects of total compensation; all employees are eligible to receive salary, variable compensation, and benefits. The base salary range for this position is:

USD 120,000 - 225,000

This range takes into account the wide range of factors that are considered when making compensation decisions, including but not limited to skill sets; role; skills and experience; certifications; and education. This range is an estimate, and further details on salary and total compensation aspects will be shared with candidates during the recruitment process.

Base salaryis only one component of Wellington's total compensation approach. Other rewards may include a discretionary Corporate Bonus and/ or Incentives, if eligible. In addition, we offer a comprehensive and high value benefit package to meet the unique needs of our employees and their families, and we are committed to fostering a flexible work environment that enables employees to thrive personally and professionally. Examples of our benefits include retirement plan, health and wellbeing, dental, vision, and pharmacy coverage, health savings account, flexible spending accounts and commuter program, employee assistance program, life and disability insurance, adoption assistance, back-up childcare, tuition/CFA reimbursement and paid time off (leave of absence,paid holidays, volunteer, sick and vacation time)

We believe that in person interactions inspire and energize our community and are essential to our culture. In support of this commitment, our employees work from our offices 4 days a week with flexibility to work remotely 1 day a week. We believe that this approach ultimately supports our mission to deliver investment excellence to our clients and their beneficiaries over the long term.