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Maximilian A. — Junior Financial Analyst from United Kingdom

Maximilian A.

Junior Financial Analyst

United Kingdom 1-2 years
Open to offersNew to Platform
Languages
EnglishGermanSpanish
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About

Maximilian A. is a finance professional with a solid academic background, having completed an MSc in Finance at the London School of Economics. He has demonstrated his expertise through internships in prominent financial institutions. At BNP Paribas in Frankfurt, he served as an Equity Derivatives Sales Intern, where he advised DACH retail clients on structured products and utilized the Bloomberg API to enhance product competitiveness. His technical skills in Python and Power BI were instrumental in developing dynamic dashboards for live financial tracking. During his time as a Trading Market Risk Intern at ING Amsterdam, Maximilian analyzed risk metrics and automated reporting processes using VBA, increasing efficiency in trading risk management. His analytical capabilities were further evidenced as a Renewable Energies Analyst at Refuels, Renewable Energy Fuels B.V., where he streamlined accounting procedures and conducted market research to support procurement strategies. Fluent in multiple languages, Maximilian's international experience and technical proficiency make him a valuable asset in finance and risk management sectors.

Experience

  • Equity Derivatives Sales Intern

    BNP Paribas · 2025 — 2025
    Guided DACH retail clients regarding structured product solutions with over €200m AUM. Utilized Bloomberg API to analyze the moneyness and maturities of 24,000 leveraged BNP products against competitors, identifying gaps for enhanced competitiveness. Employed Power BI and Python to develop dynamic dashboards that showcased live P&L, AUM, and turnover data segmented by product types and asset classes, which were subsequently implemented by management. Participated actively in internal market meetings with cross-functional teams and management based in Paris.
  • Trading Market Risk Intern

    ING · 2024 — 2024
    Analyzed and reported on risk metrics such as Value-at-Risk, Greeks, and BPV for linear rates trading desks. Conducted weekly market commentary detailing P&L and risk drivers in response to market fluctuations for over 30 members of the Trading Risk Management department. Employed Python and VBA to automate slide deck creation and scenario analyses, leading to improved operational efficiency.
  • Renewable Energies Analyst (Working Student)

    Refuels, Renewable Energy Fuels B.V. · 2023 — 2024
    Compiled a comprehensive 70-page report detailing procedures on accounting workflows and performance metrics, which was adopted across the company. Conducted research on Europe’s renewable energy market, focusing on identifying Austrian biomethane suppliers to facilitate procurement efforts. Optimized internal manual processes by integrating accounting platforms with payment systems through Python.
  • Junior Financial Due Diligence Analyst

    3S Money · 2023 — 2023
    Assigned risk profiles to mid-cap international company clients by applying seven risk parameters, analyzing three financial statements, and conducting counterparty and industry research. Executed statistical ANOVA tests using past client data to enhance the precision of risk parameters, which were later adopted by the division.

Skills & Expertise

Education

  • MSc Finance
    London School of Economics and Political Science · 2025 — 2027
  • BSc International Bachelor of Economics and Business Economics
    Erasmus University of Rotterdam · 2021 — 2024
  • BSc Exchange Semester
    Universidad Carlos III de Madrid · 2023 — 2023