Get the latest updates on AI-powered hiring, career growth, and technical deep-dives delivered to your inbox.
Crédit Agricole CIB
Join our Risk Advisory team within the Global Markets Division and embark on a journey where your core competencies in analytical thinking, problem-solving and quantitative analysis will be at the forefront of helping our clients navigate their financial landscapes.
Key responsibilities are, but not limited to:
Risk Analysis and Client Interaction:
Produce detailed risk analyses and presentations to identify and quantify various client risk exposures linked to market variables such as FX, interest rates, and commodity pricesDevelop and propose efficient, cost-effective hedging and financing solutions, optimizing for both risk mitigation and compliance with hedge accounting standards.
Collaboration and Innovation:
Work closely with Corporate Sales/Solutions, Financing, and Coverage teams to tailor solutions for Corporate and Financial Sponsor clients globallyLead and contribute to automation projects using Python or VBA to enhance tool efficiency and analytical capacity.
Research and Development:
ExperienceExposure to an investment banking environment, preferably in derivatives or fixed-income markets.
Matched to your profile
We surface this role because it matches profiles like yours, not because we vet the employer. Always confirm the pay, location, and remote details on Crédit Agricole CIB's official site before you apply.