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Risk Management - Internship (Lyon, France)
Jobs Workable Com Handicap International
Publiée le
29/07/2026
Contrat
Temps partiel, Temps partiel, Temps partiel · 4-6 mois
Localisation
Nice, Provence-Alpes-Côte d'Azur, France
Taille équipe
Inconnue emp.
Rémunération
Inconnue
Missions clés
Perform analisi financial risks at fund levels · Maintain and update the Risk Dashboard database, including regular updates of key risk, FX, and Net Asset Value (NAV) metrics · Support stress test risk calculations · Follow up outstanding documentation required for investment and divestment processes · Contribiate to testing activities linked to ongoing platform implementation projects
Profil recherché
0-1 ans d'expérience · Rigueur · Esprit d'analyse
Outils & compétences
Microsoft Excel, Data Reconciliation, Reporting
Le poste en détail
Location : Lyon, France
About ARCHIMED
With offices in Europe, North America and Asia, ARCHIMED is a leading investment firm focused exclusively on healthcare industries. Its mix of operational, medical, scientific and financial expertise allows ARCHIMED to serve as both a strategic and financial partner to healthcare businesses. Prioritized areas of focus include Biopharma Products, Consumer Health, Healthcare IT, In Vitro Diagnostics, Life Science Tools and Biologic Services, MedTech, and Pharma Services.
ARCHIMED helps partners internationalize, acquire, innovate and expand their products and services. ARCHIMED manages €8 billion across its various funds, including the largest healthcare-only private equity fund raised by a European-based General Partner. Since inception, ARCHIMED has been a committed Impact investor, both directly and through its EURÊKA Foundation.
The Team
An international team (with more than 38 nationalities) with complementary education and experience in investment, medical, scientific, strategic and operational sectors
Composed of alumni from: INSEAD, Berkeley, Georgetown, Bocconi, HEC Paris, Ponts et Chaussées, ESSEC, Imperial College, Dartmouth, etc.
Professional backgrounds: Private Equity, Consulting (A.T. Kearney, Bain, McKinsey), MandA (Lazard, EY, KPMG, PwC), Industry
We are looking for an intern who will be joining our Risk Management team based out of Lyon, France for a period of min. 6 months internship.
The ideal candidate will be reporting to our Risk Manager based in Lyon, France.
Your Role
Perform analysis on financial risks at fund levels
Maintain and update the Risk Dashboard database, including regular updates of key risk, FX, and Net Asset Value (NAV) metrics.
Support stress test risk calculations
Follow up on outstanding documentation required for investment and divestment processes.
Contribute to testing activities linked to ongoing platform implementation projects.
Support the team on the data reconciliation process
Support on regulatory reporting process
Requirements and Qualifications
Proficiency in Microsoft Excel; familiarity with data reconciliation and reporting processes is required.
Experience in financial analysis and reporting, including exposure to fund-level risk reporting and regulatory reporting.
Interest in regulatory compliance and financial risk frameworks.
Interest in AI developments
Fluency in English is required; French is a plus.
Eligible to work in France.
Previous exposure to risk management or asset management, private equity, and NAV and FX-related analysis from internship experience is a plus.
Master's student or recent graduate in Finance or Economics with a specialization in Risk is a plus.
Requirements and Qualifications
Proficiency in Microsoft Excel; familiarity with data reconciliation and reporting processes is required.
Experience in financial analysis and reporting, including exposure to fund-level risk reporting and regulatory reporting.
Interest in regulatory compliance and financial risk frameworks.
Interest in AI developments
Fluency in English is required; French is a plus.
Eligible to work in France.
Previous exposure to risk management or asset management, private equity, and NAV and FX-related analysis from internship experience is a plus.
Master's student or recent graduate in Finance or Economics with a specialization in Risk is a plus.