GENERALI INVESTMENTS PARTNERS SGR SpA - Internship private debt solutions



Location (s):

  • Italy
Milano, Lombardia


GENERALI INVESTMENTS PARTNERS SGR SpA is the legal entity belonging to the Business Unit Investments, Asset & Wealth Management of Generali that is specialized in managing portfolios based on unconstrained strategies, more precisely high conviction approaches to equity and fixed income investments, as well as innovative alternative strategies. The company leverages both internal and external expertise, the latter through boutiques that Generali Investments has either acquired, invested in or created, and in which the company holds a majority share. Its mission is to be the growth engine of the Business Unit in terms of number of third party clients/AUM and expertise offer.


Within GIP Investments team, the Private Debt specialists are in charge of the selection, implementation, management and monitoring of direct and indirect Private Debt investments. Core of the activity is the selection of Private Debt strategies (Direct Lending, Asset Based Lending, Distressed Debt, etc.) managed by global asset managers and their implementation through the most efficient structures dedicated to the Generali Group Insurance Companies and external clients.

The intern will be responsible for the following activities:

  • Monitoring and reporting the performance of Private Debt investments and update the existing internal databases
  • Performing ad-hoc analysis related to current portfolios and single investments
  • Maintenance of documentation and reports relating to each investment
  • Identification and improvement of official reports, including the potential enrichment of the monitored data
  • Support in the scouting and due diligence of new Private Debt investments
  • Support to the portfolio manager of the GIP flagship Private Debt Fund-of-Funds

Opportunity is About:


Candidates should be from:

Description of Ideal Candidate:

The ideal candidate will meet the following requirements:

Must have:

  • Bachelor’s Degree or last-year Master in Economics or similar
  • Good knowledge of financial instruments and market trends
  • Analytical and presentation skills (Excel, PowerPoint) are also a prerequisite
  • Fluency in English is a requisite. Good knowledge of other languages would represent a plus
  • Ability to use Bloomberg and VBA is a plus

Soft skills:

  • Problem solving attitude
  • Take over responsibility at a very early stage, flexibility
  • Proactive and strong team working oriented


Deadline: As soon as possible

Cost/funding for participants:

Find your Dream Opportunity Abroad!

Search from 4151 opportunities in 189 countries