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London - 2027 - Summer Internship - Coverage - Global Banking

BNP Paribas

2027Summer InternshipUK · London, United KingdomFinancial ServicesOpen
Rolling / no fixed deadline

Nine-week Coverage summer internship, London. Rolling deadline. May be considered for the 2028 Global Banking Graduate Programme in London only. Visa/sponsorship not mentioned.

Full job description

You may only apply for one Summer Internship per academic year (Global Banking- Coverage, Capital Markets or M&A, Global Markets, Technology or Securities Services). Why join BNP Paribas? A great place to work: hybrid, flexible, and agile working arrangements, and an inclusive culture supported by networks such as Pride, Ability, MixCity, Early Careers Network, and Multicultural Network. A positive impact: committed to Net Zero in financing and investment portfolios by 2050 and 80% low-carbon energy financing by 2030, with every employee receiving four volunteering days each year. A focus on growth: investment in people through training, mentoring and career development, with nearly half of UK Corporate & Institutional Banking roles filled internally in 2024. Business Area: Coverage bankers serve as the primary point of contact between the bank and corporate clients, developing deep client relationships and orchestrating bespoke solutions across Advisory (M&A, valuations, private equity), Acquisition Financing, Loans, DCM and ECM. The Programme: our nine-week Coverage internship gives you the chance to experience life at the centre of corporate and investment banking. After a week of training, you will spend eight weeks in one of our business areas, taking on real responsibility from the start and contributing to live client projects. As part of this internship, you may be considered for the 2028 Global Banking Graduate Programme in London only. What you'll do: work on live transactions and client projects; research and analyze industries and companies; assist in preparing pitch books and presentations; support the development of financial models and valuations; learn how credit and risk are assessed. What we're looking for: penultimate year of study; fluent in English with strong written and verbal skills, additional languages advantageous; on track for a 2:1 degree or equivalent; strong interest in banking and financial markets; excellent analytical and numerical ability; familiarity with financial modelling or coding an advantage but not required.

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