Lufthansa - Internship in financial risk controlling

Deadline: As soon as possible

Internships

Companies

Location(s)

  • Germany
Frankfurt / Main

Overview

Your internship in financial risk controlling.

Details

Analyze risks and design solutions - your internship in Financial Risk Controlling. Are you not afraid of numbers, do you enjoy weighing up financial risks as part of a team and are you a good communicator? Then you are welcome to join our team.

The aim of Group financial risk controlling is to make transparent, assess and manage the Lufthansa Group's financial risks relating to fuel, emission certificate requirements, foreign currencies, interest rates and counterparty default risk.

  • Identification, analysis and measurement of financial risks from fuel, emission certificates, foreign currencies and interest rates in the LH Group
  • Target group-oriented reporting on financial risks and control results, including top management reporting
  • Further development of the methods to be used in financial risk controlling, such as the continuous optimization of workflows via BI tools, optimization of risk measurement approaches or the optimal use of treasury management systems
  • Collaboration in projects or, if necessary, management of (sub-)projects
  • Interface with the accounting department on various technical issues
  • Advising business areas and Group companies with regard to their financial risk position

About Deutsche Lufthansa AG

The Lufthansa Group is an aviation group with operations worldwide. It plays a leading role in its European home market. It plays a leading role in its European home market. With 96,677 employees, the Lufthansa Group generated revenue of EUR 35,442m in the financial year 2023. Deutsche Lufthansa AG is organized into the business segments Network Airlines, Point-to-Point Airlines, the Aviation Services segment with the business segments Logistics, MRO and the other companies and Group functions.

Opportunity is About


Eligibility

Candidates should be from:


Description of Ideal Candidate

  • At the time of the internship you are at least in the 3rd semester of a degree course
  • Enrollment for the entire period of the internship (current enrollment certificate and written proof of mandatory internship must be enclosed with the application) or the internship between the Bachelor's and Master's degree program (Gap Year)
  • Analytical and conceptual skills, strong numerical skills and ability to abstract- Good to very good IT skills (MS Excel, MS Powerpoint, possibly BI tools)- Ability to work in a team, strong communication skills and willingness to work in a team
  • High level of problem-solving skills and innovative ability
  • (Basic) knowledge of the instruments used in financial risk management (options, forwards, swaps, etc.) as well as analysis and valuation methods

Dates

Deadline: As soon as possible


Cost/funding for participants

The internship is scheduled to start in October/November 2025 for 6 months. The internship is remunerated.

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