GRM, Enterprise Risk Analyst Intern

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    RBC

    10,001+ employeesToronto, OntarioBanking
    Actively hiringPaidWinter 2027Banking
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    About the role#

    This is a four-month internship within the Group Risk Management team. You will support the identification and assessment of enterprise-wide risks, including top and emerging threats to the bank. This position offers a view into how different business segments and functional units operate and how they manage risk.

    What you'll do#

    • Research and analyze global economic, geopolitical, societal, and technological trends.
    • Assist in the development of presentations and white papers for senior management.
    • Support the preparation of quarterly and annual reporting regarding enterprise risks.
    • Help maintain and update the enterprise Risk Repository.
    • Collaborate with various teams across the bank, including Credit Risk, Operational Risk, and Corporate Treasury.

    What you'll need#

    • Enrollment in a university degree program, preferably in Finance, Economics, or Business Administration.
    • A general understanding of current global events and basic economic concepts.
    • Strong analytical and problem-solving skills.
    • Excellent writing and research abilities.
    • Proficiency with Microsoft Office, specifically PowerPoint, Excel, and Word.
    • The ability to explain complex concepts clearly.

    Location & details#

    • Location: Toronto, Ontario, Canada.
    • Term: Winter 2027 (January 11, 2027 to April 30, 2027).
    • Work Modality: Hybrid or on-site.
    • Employment Type: Full-time, paid internship.
    • Eligibility: You must be returning to school after the term ends or require this placement as a mandatory graduation component.

    About RBC

    RBC is a global financial institution based in Toronto, Ontario. It operates as Canada's largest bank and maintains a presence in the United States and 27 other countries. The company employs over 100,000 people and serves more than 17 million clients. Its business model covers banking, investing, insurance, and capital markets.

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