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Job description
Business type
Types of Jobs - Corporate & Investment Banking
Job title
Structured Credit Structuring Analyst
Contract type
Permanent Contract
Management position
No
Job summary
Position Summary
Global Markets Structuring team is organised around:
* 3 Poles: Corporates, Financial Institutions, Wrapping Solutions
* 4 Regions: Americas, Asia Pacific, EMEA (ex. France) and France
GMD Structuring has the following mandates:
1. Provide added-value solutions, marketing content, technical support/training and pricing assistance to Sales network
· Products include hedging solutions and investment products
· Across all available asset classes: Rates, Credit, FX/Precious Metals, Equities, Cross-Assets (aka "hybrids"), and "Alternative" solutions e.g. ESG, Risk Transfer solutions, Proprietary Indices
2. Foster cooperation and ensures a smooth execution process between Trading and Sales
3. Design and develop new products, tools, materials responding to clients' needs and sales feedback and coordinate the internal development process as needed
4. Local implementation or development of appropriate or tailor made "financing" and "packaging" wrapping solutions ("tailored financing" with embedded derivatives, EMTN, fund, loan, repack, TRS etc.) with a strong transactional motivation in order to optimise clients' objective versus risk, accounting and/or regulatory constraints
5. Support the cross-selling business with Sales force regionally and globally: definition and roll out of the acceptable risk parameters and best practices for the product line including participation in the structuring and negotiation of the transactions to ensure alignment with the defined risk parameters
6. Ensure the business is carried out with the highest origination standards from both a compliance and legal standpoint
7. Represent the business, be the point of contact on matters requiring structuring/technical expertise:
· Internally: within GMD, and with other departments
· Externally: with Clients, Market Counterparties, Regulators, Industry bodies and group entities
Core customers are Financial Institutions, Distributors and Corporates.
This position aims will focus on our Financial Institution clientele, from private banks to large institutions, on structured credit offering, either investments or hedging.
Key Responsibilities
Strategy and Business Planning
* Work in coordination with sales to propose products and solutions (pricing, strategy, pitch, client meetings…) for hedging and investment purposes.
* Prepare marketing materials for products (existing and new), for review by the customer, CACIB and Lawyers.
* Execute the transactions with Trading according to CACIB pricing policies.
* Ensure "best-in-class" trade execution from pre to post-trade to offer best client service, in continuous accordance with internal and external rules and regulations.
* Work closely with other regional structuring teams to ensure efficiency of production and to leverage idea generation.
* Contribute to the development of new products (or adapt to local clients) by answering swiftly to reverse-enquiries
Supplementary Information
Join our team at Crédit Agricole CIB, the corporate and investment banking arm of 10th largest banking group. We offer more than just a job.
You will be part of a dynamic and collaborative work environment where CSR is embraced in our day-to-day business operation, innovation is encouraged and diversity is celebrated.
Crédit Agricole CIB, the first French bank to have committed to the Equator Principles, is a pioneer and global leader in sustainable finance. Our commitment to sustainability and corporate responsibility means that your work will have a positive impact on our communities and the environment.
With a people-centric culture where everyone is valued, and opportunities for personal and professional growth, Crédit Agricole CIB is not just a place to work - it is where you make an impact.
Our hiring process is open to all and should you have any particular needs or you may require adjustments, please let us know.
Position location
Geographical area
Europe, United Kingdom
City
London
Candidate criteria
Minimal education level
Bachelor Degree / BSc Degree or equivalent
Academic qualification / Speciality
Finance related university degree and/or professional qualification
Experience
* Experience in financial engineering/ structuring and new product development.
* Experience in financial products for one of the following asset class: IRD, FX, Credit, Equity Derivatives.
Required skills
* Flexible
* Strong Initiative
* Highly motivated
* Creative
* Innovative
* Team Oriented
* Analytical
* English: Fluent
Technical skills required
* IT literate
* Mathematically minded
* Good understanding of Derivatives
* Structuring skills
* Programming skills (Python, VBA)
| Provenienza: | Web dell'azienda |
| Pubblicato il: | 21 Mag 2026 |
| Tipo di impiego: | Lavoro |
| Settore: | Banche / Finanza |
| Lingue: | Inglese |
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