The internship experience will provide a best-in-class learning opportunity for interns interested in pursuing careers in Treasury operations and Corporate Finance. This ten-week program will provide an opportunity to learn how the Treasury discipline aids in the successful management of a company’s assets. The program will offer an opportunity to learn more about treasury management, cash forecasting, debt capital markets, and investing strategies. The internship will include group work, project-based assignments, virtual and in-person training and sessions on a number of topics that are intended to help interns become exposed to the tremendous opportunities in the industry.
Location:
Chicago, IL (Anticipate four days a week in the office)
Qualifications:
Currently pursuing a degree in Finance, Accounting, Economics, Risk Management & Insurance, or a related Business field.
Preferred graduation dates: December 2026, May 2027, December 2027, or May 2028
Experience using Microsoft Office (specifically Excel, PowerPoint, Word); familiarity with Bloomberg is a plus
Ability to commute to the Chicago office located downtown in the Loop
Key Responsibilities:
Learn processes and procedures of organization and related to the insurance industry.
Engage and collaborate on projects related to various types of Treasury deliverables for a publicly traded company.
Gain analytical, technical, and decision-making skills through formal and informal learning opportunities.
Network with leaders and other interns to develop professional connections.
Learn best in class cash management strategies which are utilized by publicly traded companies
Develop treasury reporting which will be used by treasury management
Assist with short term investment planning and execution
Aid in the creation of detailed procedure manuals and process maps of treasury activities
Work on cross functional activities which will enhance understanding of treasury’s role in an organization
Participate in meetings with various large banking partners
Aid in the maintenance the Kyriba treasury management system
Assist with global cash reporting and cash forecasting
Assist with other projects as assigned.
Preferred Skills:
Excellent organizational skills.
Demonstrated ability to communicate verbally and in writing throughout all levels of the organization, both internally and externally and to develop and maintain strong business relationships.
Proficient use of Excel, Word, and PowerPoint.
Ability to work in a team environment as well as independently.
Ability to analyze and prioritize multiple responsibilities.
Analyst and problem-solving skills, including research and investigation.
Ability to apply independent, critical thinking but also to follow instructions and take direction.
What We Offer:
Hands-on experience in a dynamic and collaborative environment.
Opportunities to learn from experienced professionals in the industry.
Ryan Specialty is an international specialty insurance organization that provides innovative solutions for brokers, agents and insurance carriers. The Ryan family includes a wholesale brokerage operation, RT Specialty (RT), and a collection of managing general underwriting companies within Ryan Specialty Underwriting Managers (RSUM).
We are committed to building and sustaining a diverse workforce that is reflective of society throughout the entirety of the organization. Our vision is of a workplace free of conscious and unconscious bias where all teammates are valued and evaluated based on their performance and contributions. Differences in race, creed, color, religious beliefs, physical capabilities, gender identity or sexual orientation are considered an asset by bringing together varied perspectives to better serve our clients, trading partners and communities.