KPMG Nederland

Financial Services

InternshipFinancialRiskManagement

€1k+ Amstelveen, North Holland, Netherlands FULL TIME Remote Friendly
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for entry candidates.

The Brief

“Internship Financial Risk Management at KPMG Nederland. Skills: Financial risk management, Risk analysis. Apply qualitative analyses. Apply quantitative analyses”

Industry & Context.

Financial Services
Problems you'll solve

Solution-oriented

What They're Looking For.

Must Have

Master's program enrollment, Minimum four months availability, Minimum four days per week availability

Nice to Have

Interest in financial sector, Interest in financial risk management, Comfortable in bilingual environment

What You'll Do.

Apply qualitative analyses

Apply quantitative analyses

Identify financial risks

Analyze financial risks

Manage financial risks

Develop knowledge of financial regulation

Develop knowledge of risk management

Translate data into insights

Support stakeholder decision-making

Contribute to strategies

Strengthen KPMG's position

How You'll Work.

Team & Collaboration

Working as part of team; Collaborating to achieve results

Communication Scope

Communicate clearly; Communicate effectively

Full Job Description

During your internship within Financial Risk Management (FRM), you will gain first-hand experience of financial risk analysis and consulting. You will contribute to relevant and essential challenges within the financial sector and have the opportunity to apply your academic knowledge in a professional environment. Throughout your internship, you will receive content-focused guidance and gain a clear understanding of what it is like to work as a consultant within FRM. In this role, you will be involved in: * Applying qualitative and quantitative analyses within financial risk management. * Identifying, analyzing and managing existing and emerging financial risks for clients. * Developing your knowledge of financial regulation and risk management, including CRR/CRD, Basel, Solvency, IFRS 9/17, WTP and climate risk. * Translating data into actionable insights to support stakeholder decision-making. * Contributing to strategies that help clients respond to evolving laws and regulations, while strengthening KPMG’s position as a Thought Leader at the intersection of risk and regulation. During your internship, you will be part of KPMG’s Financial Risk Management (FRM) team. Within FRM, we support national and international banks, insurers, pension funds and asset managers in identifying, measuring and managing financial risks. In an environment shaped by increasingly complex laws and regulations, as well as growing reporting requirements, our professionals work closely with clients on both qualitative and quantitative financial risk challenges. We combine deep subject-matter expertise with a practical mindset, helping organizations stay in control of risks related to areas such as markets, capital, regulation and reporting. This way, you will support the sector’s leading banks, insurers, asset managers and pension funds! ## Qualifications * You are currently enrolled in a university master’s program in economics, finance, econometrics or strategic management, and are exci

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