Oaktree Capital Management is a leader among global investment managers specializing in alternative investments. They are seeking a summer intern to join their Risk, Reporting, and Analytics team, where the intern will participate in a 10-week program focused on analyzing datasets and developing investment insights.
Responsibilities
Participate in a 10-week internship program;
Architect and formalize tools and code to analyze datasets using SQL, Python etc. to develop investment insights;
Understand general departmental data extraction and modeling - planning and design;
Understanding the menu of work that the Portfolio Analytics & Reporting sub-team is responsible for;
Understand the data and technology architecture at Oaktree;
Meet other interns and build relationships across the organization;
Qualification
Required
Outstanding analytical skills
Strong technical/ programming skills, incl. intermediate/ advanced Python, SQL, and some familiarity with databases
Ideally majoring in engineering or a hard science
Statistical and modeling skills
Knowledge of big data methods, finance applications, etc.
Fluency in basic Python libraries, as well as more scientifically oriented ones
Familiarity with AI/ ML packages as applied to finance a plus
Familiarity with MS Fabric for developing data pipelines, dataflows, Lakehouse, and data warehouse solutions a plus
Some understanding of finance and economics
Familiarity with private financial markets highly desirable
Self-starter with a proven ability to take initiative
Responsible with a strong work ethic and sense of dedication
Excellent interpersonal, verbal and written communication skills
Works well under pressure and with time constraints
Outstanding organization skills with high attention-to-detail
Team-oriented with strong integrity and professionalism
Must be able to handle highly confidential information and situations with professionalism and tact
Currently pursuing a Bachelor’s degree with a high GPA from a university or college
Preferred
Benefits
Oaktree is a leader among global investment managers specializing in alternative investments, with $218 billion in assets under management as of September 30, 2025.