Investment Intern - Summer 2026 at Verition Fund Management

United Kingdom

Verition Fund Management Logo
Not SpecifiedCompensation
InternshipExperience Level
InternshipJob Type
UnknownVisa
Asset Management, FinanceIndustries

Requirements

  • Pursuing an undergraduate degree in finance, engineering, mathematics, computer science, or a related field
  • Strong quantitative skills
  • Interest in financial markets and financial processes
  • Ability to multitask and complete projects in a timely manner
  • Skilled in Excel
  • High degree of attention to detail
  • Intellectual curiosity and a desire to learn
  • Ability to work effectively in a fast-paced environment
  • Reflect SFM core values: Smart risk-taking, Owner’s Mindset, Teamwork, Humility, Integrity
  • Experience in building financial models (plus)
  • Familiarity with Bloomberg, SQL Databases, VBA, Python, and R (plus)

Responsibilities

  • Gain exposure to SFM’s investment process
  • Work closely with Portfolio Managers, Research Analysts, and other senior professionals across the firm
  • Perform day-to-day responsibilities on the desk
  • Participate in a roundtable speaker series with firm leaders
  • Attend training sessions focused on technical skills such as Excel and financial modeling
  • Participate in networking events with peers and professionals across the industry

Skills

Key technologies and capabilities for this role

Financial AnalysisInvestment ResearchPortfolio ManagementEquity ResearchFixed Income

Questions & Answers

Common questions about this position

Where is the internship located and how long does it last?

The internship is a nine-week program based in the London office, running from early June through mid-August 2026.

What is the salary or compensation for this internship?

This information is not specified in the job description.

What skills and qualifications are required for the Investment Intern role?

Candidates should be pursuing an undergraduate degree in finance, engineering, mathematics, computer science, or a related field, with strong quantitative skills, interest in financial markets, Excel proficiency, multitasking ability, attention to detail, and financial modeling experience as a plus.

What is the company culture like at SFM?

SFM fosters an ownership mindset, encouraging professionals to challenge the status quo, innovate, take initiative, and engage in continuous growth and constructive debate, while operating as a unified team across geographies.

What makes a strong candidate for this internship?

Strong candidates pursue relevant undergraduate degrees, demonstrate strong quantitative skills, show genuine interest in financial markets, are skilled in Excel with financial modeling experience preferred, and exhibit multitasking ability and attention to detail.

Verition Fund Management

Multi-strategy hedge fund for investments

About Verition Fund Management

Verition Fund Management is a hedge fund that employs multiple investment strategies to manage assets for institutional investors, such as pension funds and high-net-worth individuals. The firm focuses on various strategies including Credit, Fixed Income Macro, Convertible Volatility Arbitrage, Event Driven, Equity Long Short Capital Markets, and Quantitative Strategies. Their approach involves dynamic capital allocation, allowing them to adapt to changing market conditions and aim for absolute returns. Verition differentiates itself from competitors through its collaborative work environment and a strong emphasis on risk management, utilizing both internal and external analyses to maintain disciplined investment practices. The company's goal is to generate positive returns for its clients while fostering a culture of creativity and cooperation among its team.

Greenwich, ConnecticutHeadquarters
2008Year Founded
$1,397.3MTotal Funding
VENTURE_UNKNOWNCompany Stage
Quantitative Finance, Financial ServicesIndustries
51-200Employees

Benefits

Remote Work Options

Risks

Emerging hedge funds using AI may outperform Verition's traditional strategies.
Regulatory scrutiny could impact Verition's fee structures and transparency requirements.
Geopolitical tensions may disrupt Verition's fixed income and equity investment strategies.

Differentiation

Verition employs a multi-strategy approach, offering diverse global investment strategies.
The firm has a collaborative environment fostering creative investment ideas.
Verition's sophisticated risk management ensures disciplined investment practices.

Upsides

Verition benefits from increased interest in ESG investing for sustainable investment strategies.
AI-driven trading platforms enhance Verition's quantitative strategies and risk management.
Alternative data sources provide Verition unique insights for competitive market predictions.

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