Job Description:
Job description
Business type
Types of Jobs - Corporate & Investment Banking
Job title
Client Coverage US Analyst - Automotive Portfolio
Contract type
Fixed-Term Contract
Term (in months)
24
Expected start date
22/06/2026
Management position
No
Job summary
Position Description
Crédit Agricole S.A. is a global financial institution based in France with over $2.1 trillion in total assets. The Bank offers a full range of services that include retail banking, corporate & investment banking, asset management, insurance, and numerous others. Crédit Agricole Corporate & Investment Bank ("CACIB"), a wholly owned subsidiary, provides capital markets, investment banking, and corporate banking services worldwide.
Crédit Agricole Corporate & Investment Bank's Chicago Office is responsible for executing transactions on behalf of multinational clients headquartered in the U.S. Our clients include public and private companies with a large international presence and annual revenues generally in excess of $1.0 billion. Transactions executed on behalf of clients include but are not limited to strategic and financial advisory, syndicated debt, bond/equity issuances, foreign exchange/interest rate derivatives, securitization, trade finance and structured transactions.
The Chicago automotive banking team is seeking a recent or upcoming college graduate to assist senior bankers in the management of client relationships. The ideal candidate will demonstrate:
* Strong initiative and the ability to work well under pressure
* Ability to manage numerous assignments at once
* Resourcefulness and independence
* Professional demeanor
* Strong interpersonal and communication skills
In addition, the candidate should have an understanding of finance/accounting fundamentals, credit analysis, financial statement analysis, modeling, and valuation.
The analyst program offers an opportunity for recent college graduates interested in finance and corporate/investment banking to actively participate in this fast-paced and challenging industry. The standard analyst program is two years, with analysts hired on an initial one-year contract. The goal of the analyst program is to develop top candidates into Full-Time Associate positions at the end of the two year period. We provide our analysts with the tools necessary for professional growth and career advancement.
Supplementary Information
Responsibilities
* Work directly with relationship managers to organize presentation materials for clients and senior management
* Undertake financial analysis of current/prospective clients related to capital structure, creditworthiness, and financial performance in order to identify future business opportunities
* Coordinate the internal approval of transactions related to strategic and financial advisory, syndicated debt, bonds, securitization, trade finance, interest rate derivatives and other products within the CA-CIB global platform
* Analyze the benefit of entering transactions, maintaining or exiting global client relationships, and communicating your findings to senior management
* Construct and maintain internal models to measure client profitability, risk weighted assets, and the competitiveness of CA-CIB in all product areas
* Conduct research projects related to the Automotive, Agrifoods, Mining & Metals, Technology and other industries
* Prepare write-ups, quarterly and annual reviews and other reports in a timely fashion
Position location
Geographical area
America, United States Of America
City
NEW YORK
Candidate criteria
Required skills
* Recent or upcoming college graduate with a BA in Finance or related field
* Eligible to work in the US
* Not require visa sponsorship now or in the future (including F1, OPT, CPT, etc.)
* Minimum Cumulative GPA of 3.5
Internship experience in the banking industry or a related field
* Knowledge of accounting and financial statements
* Some financial modeling skills
* Developed oral and written presentation skills
* Advanced knowledge of major computer applications including Excel, PowerPoint and Word (experience using the Bloomberg terminal is a plus)
* Basic grasp of risk/return analysis concepts and tools
Salary: $100,000
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Languages
English
| Source: | Company website |
| Posted on: | 12 May 2026 |
| Type of offer: | Graduate job |
| Industry: | Banking / Finance |
| Job duration: | 24 months |
| Compensation: | 100000 USD |
| Languages: | English |