You are viewing a preview of this job. Log in or register to view more details about this job.

US Analyst – Global Markets

Crédit Agricole CIB | New York, NY

About the Role

CA-CIB's Global Markets Division is hiring entry-level Analysts across four desks in New York:

  • Global Repo & Indexing (GRI) – Equity Finance & Delta One
  • FX Non-Linear Trading – FX Options
  • FX – Emerging Markets (Brazil / LatAm)
  • Global Markets Structuring – Cross-Asset

Analysts work directly alongside experienced traders and structurers, with exposure to the full lifecycle of trading and structuring activity from day one. Each placement offers a clear development path within Global Markets.

 

Work Authorization: Must be permanently authorized to work in the US. No visa sponsorship available.

Key Responsibilities

Trading & Structuring Support

  • Monitor positions, market data, and real-time developments across relevant asset classes; flag anomalies to the desk promptly
  • Support pricing of derivatives, FX, rates, credit, equity, and secured funding products (TRS, structured repo, etc.)
  • Assist in market-making activity and execute transactions within established risk parameters
  • Prepare marketing materials, term sheets, and product presentations for the sales force

 

Tools & Analytics

  • Build and maintain pricing models, spreadsheets, and analytical frameworks
  • Compile daily P&L, risk, and market commentary reports for management
  • Support flow analysis and position management across trading books

 

Trade Processing & Risk

  • Input trades into Front Office systems accurately and on time (Sophis, SFCM, Orchestrade)
  • Assist with daily P&L reconciliation; escalate discrepancies appropriately
  • Monitor position and risk limits intraday; flag potential breaches to senior traders

 

Compliance & Controls

  • Comply with all legal, regulatory, and internal requirements including CA-CIB's US Compliance Manual
  • Complete all mandatory training; adhere to KYC procedures and applicable conduct rules
  • Act as first line of defense — identify and escalate control issues or regulatory concerns

 

Collaboration

  • Partner with Sales, Quant Research, Legal, Compliance, Middle/Back Office, and IT
  • Liaise with global offices and contribute to team discussions on market strategy

 

Essential

  • Bachelor’s degree in finance, math, stats, economics, engineering, CS or a related major
  • Strong excel, solid grasp of financial markets and instruments
  • Strong written and verbal English
  • Candidate must be eligible to work in the US
  • Candidate must not require Visa Sponsorship now or in the future (including F1, OPT, CPT)

 

Desirable

  • Master’s in Finance or Financial Economics
  • Internship in Capital Markets, trading, structuring, or a related quantitative role
  • Python, VBA, SQL, Bloomberg/Reuters, knowledge of specific product areas
  • Second language, derivative coursework or trading simulations

 

Competencies: 

  • Intellectually curious
  • Highly numerate 
  • Detail-oriented
  • Calm under pressure 
  • Team player 
  • Proactive and self-motivated

 

Additional Information

  • Licensing: FINRA Series 7 & 63 required upon hire — CA-CIB will support the process
  • Systems: Bloomberg, Reuters/Refinitiv, Microsoft Office/Excel, and desk-specific Front Office platforms

 

Salary: $100,000