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Global Risk, Summer 2027 Analyst - London

Bank of America

2027Summer InternshipUK · London, United KingdomFinancial ServicesOpen
Deadline: 11 Oct 2026 (37d)

10-week summer internship across one of Global Risk Management's seven risk disciplines.

Full job description

About Us At Bank of America, we are guided by a common purpose to help make financial lives better through the power of every connection. We do this by driving Responsible Growth and delivering for our clients, teammates, communities and shareholders every day. The team: Global Risk Management (GRM) is an enterprise control function that provides independent risk management for Bank of America, ensuring the company pursues Responsible Growth through strong risk management practices while overseeing governance and strategy for risk management, including relationships with key regulators and supervisory institutions worldwide. Global Risk Summer Analysts will be aligned to teams supporting one of the bank's seven risk types. Programme Overview The Global Risk Development Summer Analyst Programme is a 10-week experience providing insight into Bank of America, the role of GRM, and how effective risk management supports Responsible Growth. You will gain exposure to the Bank's seven risk disciplines: Strategic, Market, Credit, Compliance, Liquidity, Operational and Reputational Risk. Responsibilities: - Partnering with Risk Managers to assess and manage the company's risk exposures in accordance with the Risk Framework - Supporting analysis and projects that contribute to risk management policies, controls and frameworks - Developing emerging risk assessments, risk scenario analysis, and risk modeling where applicable - Supporting and managing projects and initiatives related to risk management - Supporting regulatory initiatives and policy implementation activities - Supporting a culture where effective risk management is embedded in decision-making Eligibility Candidates are required to be pursuing a Bachelor's or Master's degree from an accredited college or university with a completion time frame between September 2027 and July 2028. On track for a minimum 2:1 degree classification (or equivalent). Must be available to join the programme from June 2027 to August 2027. What we are looking for Essential: - Clear motivation for exploring a Risk career within financial services - Demonstrate intellectual curiosity, innovative and critical thinking, and strong problem-solving capabilities - Demonstrate sound judgement and attention to detail - Strong teamwork, leadership, and ability to work in a fast-paced environment - Commitment to achieving sustainable results through operational excellence - Commitment to continuous professional development beyond academic studies - Effective, impactful communication and interpersonal skills - Demonstrate integrity and ethics Desired: - Exposure to research and data analysis - Exposure to process improvement, operational excellence or workflow design - Proficiency in Microsoft M365 applications, including AI-enabled productivity tools - Interest in leveraging data, analytics and emerging technologies

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