Primary responsibilities include assisting portfolio managers in investment research, tracking daily portfolio activities, monitoring financial and extra-financial risks, participating in investment committee meetings, developing sector/issuer analyses, and contributing to decision-making tools and market commentary.
Required experience includes being a current student pursuing a Bac+4/Bac+5 degree from a business school, university, or grande école, with prior experience in asset management or banking. Strong financial market knowledge, particularly in bond markets and derivatives, analytical skills, and ability to manage multiple projects simultaneously are essential.
Lazard offers an opportunity to develop portfolio management and financial analysis skills, work in a dynamic international environment, and potentially become a future talent within the organization. The company emphasizes diversity, inclusion, and professional development, providing a supportive learning environment for promising young professionals.