US Analyst Global Markets
Crédit Agricole CIB New York, United StatesUS Analyst Global Markets
Crédit Agricole CIB New York, United States
US Analyst Global Markets
Job description
Business type
Types of Jobs - Corporate & Investment Banking
Job title
US Analyst Global Markets
Contract type
Fixed-Term Contract
Term (in months)
24
Management position
No
Job summary
About the Role
Credit Agricole 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.
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
#LI-DNI
Supplementary Information
Description of each team:
Global Repo & Indexing (GRI) - Equity Finance & Delta One
The GRI desk manages equity financing and Delta One trading activity, including securities lending, repo, and index-linked products. Analysts on this desk support senior traders in monitoring positions, pricing transactions, and managing the day-to-day flow of a fast-moving equity finance business.
FX Non-Linear Trading - FX Options
The FX Options desk is responsible for market-making and risk management across a range of vanilla and exotic FX derivatives products. Analysts work alongside experienced options traders, gaining hands-on exposure to derivatives pricing, Greeks management, and client flow in a high-intensity environment.
FX - Emerging Markets (Brazil / LatAm)
The EM FX desk focuses on Brazil and broader Latin American currency markets, providing pricing and liquidity to clients across spot, forwards, and FX derivatives. Analysts support the trader with real-time market monitoring, flow analysis, and macro research with a specific focus on BRL and LatAm dynamics.
Global Markets Structuring - Cross-Asset
The Structuring desk designs and delivers bespoke derivatives and financing solutions across rates, FX, credit, and equity for institutional and corporate clients in the Americas. Analysts support senior structurers on pricing, term sheet preparation, and internal coordination across trading, legal, and compliance.
Position location
Geographical area
America, United States Of America
City
NEW YORK
Candidate criteria
Minimal education level
Bachelor Degree / BSc Degree or equivalent
Level of minimal experience
0-2 years
Experience
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
Languages
English
Job ID 115941
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