The process begins with an initial phone screen from HR. Successful candidates then complete a technical assessment testing Excel and financial modeling skills. Next, they interview with the hiring manager, followed by a panel interview with senior team members. A final case study presentation is given to department leadership before an offer is extended.
J'ai postulé via un établissement d'enseignement supérieur ou universitaire. Le processus a pris 2 mois. J'ai passé un entretien chez Morgan Stanley en févr. 2014
Entretien
Applied through On Campus Recruitment and got the first round interview which took place on campus. First round interview was one on one 30 mins interview with basically all behavioral questions. Then got the super day interview, which took place at Morgan Stanley. Superday is typically 3 to 4 hours.
Questions d'entretien [1]
Question 1
Definitely have some basic knowledge of Excel, the more the better. Not many technical questions and they really want to see if you can work in team well. Need very good answers on why Morgan Stanley and why Finance, because they know a lot of people go to Finance because they cannot get an IB summer internship. Be ready to be creative, be a team player, and be ready to talk about your interests.
J'ai passé un entretien chez Morgan Stanley (Londres, Angleterre)
Entretien
Psychometric testing, phone call interview that was skills based and an assessment centre that consisted of individual skills based interviews, group assessment where we were timed to present on a particular briefing and an individual assessment where were were given a brief where we had 50 minutes and presented to a panned on our conclusions
Questions d'entretien [1]
Question 1
What behaviours do you find most difficult to work with?
make sure you are fully knowledgeable and have a deep interest in the industry or field you are applying for. They will ask heavy technical questions, and also know everything on your resume in complete detail
Questions d'entretien [1]
Question 1
what is the formula of the debt ratio and WACC specifically and how it may affect a company?