Connexion Espace candidat

J'ai déjà un espace candidat

En poursuivant votre navigation, vous acceptez l’utilisation de cookies à des fins d’authentification et d’ajout de favoris. En savoir plus
Moteur de recherche d'offres d'emploi Crédit Agricole CIB

Vous êtes ici :  Accueil  ›  Liste des offres  ›  Détail de l'offre

Intern Placement – Medium Long Term Funding Team, Crédit Agricole S.A. - 12 Month Contract

Vacancy details

General information


Crédit Agricole CIB is the Corporate and Investment Banking arm of the Crédit Agricole Group, the world's n°13 bank measured by Tier One Capital (The Banker, July 2017)
Crédit Agricole CIB offers its clients a large range of products and services in capital markets, investment banking, structured finance and corporate banking.
The Corporate and Investment Bank is structured around six major divisions:
• Client Coverage & International Network,
• International Trade & Transaction Banking,
• Global Investment Banking,
• Structured Finance,
• Fixed Income Markets,
• Debt Optimisation and Distribution.
The Bank provides support to clients in large international markets through its network with a presence in major countries in Europe, America, Asia Pacific and the Middle East.  

Reference number


Publication date


Job description

Business type

Types of Jobs - Corporate & Investment Banking

Contract type


Term (in months)


Expected start date


Job summary

The Bank provides support to clients in large international markets through its network with a presence in major countries in Europe, America, Asia Pacific and the Middle East.

The Bank is particularly interested in applications from women, and will consider using positive action under the Equality Act 2010.

This is an exciting opportunity to join a major European bank in London.

The Intern of the Medium Long Term Funding Team assists the ALM Front Office which is responsible for the structuring and the execution of all bond issues of Credit Agricole S.A. to wholesale debt markets and provides liquidity to the subsidiaries of Credit Agricole S.A. (banking subsidiaries: CA-CIB, CA Italia (Cariparma), LCL, CA-CF, Funds Management: Amundi,  and Insurance : Crédit Agricole Assurances, etc).

Key Responsibilities

Assists the Medium Long Term Funding team on the following tasks:
Debt Capital Markets
Assistance in the execution of public benchmarks and related hedging swaps, including operational and documentation aspects
Assistance in the execution of private placements and related hedging swaps, including operational and documentation aspects
Assistance in the construction of daily private placements targets on the basis of market analysis and dialogue with dealers
Assistance in the preparation of Investor Presentations (regular Credit Update and deal-related road shows)

Market analysis
Assistance in the recommendation to senior management of Crédit Agricole S.A., on issuance opportunities in several markets (EUR, USD, GBP, CHF, AUD, JPY, etc.)
Building and maintaining proprietary tools on Excel-VBA/Access in order to follow secondary markets
The preparation of a weekly “Markets Review” for the Financial Management teams of Crédit Agricole S.A. subsidiaries

Daily dialogue with more than 20 major investment banks, including various teams such as Debt Capital Markets, Syndicates, EMTN dealers, Interest Rate Derivative Trading/Swap desks

Refinancing Activity
Assistance in setting up new borrowings and loans for Group entities
Assistance in building and monitoring the Group liquidity grid
Inputting/checking transactions in the Front Office Management Information System (both Intra-Group transactions and external debt issues to the market)
Preparation/checking of  transaction documentation (in French and English) of Loans and Borrowings
Preparation/checking of pricing runs on various internal/external deals including Interest Rate Swap, Bond pricing etc.

Working closely with various teams of the Financial Management Division of Crédit Agricole S.A., including Risks, Legal Department, Financial Communication, Accounting, Middle Office, Operations, etc.

Financial Management
Reporting Analysis
Contributing to the preparation of the monthly Management Dashboard
Monthly analysis of the Liquidity gap and NBI explanation

Job location

Geographical area

Europe, United Kingdom



Candidate criteria

Minimal education level

Bachelor Degree / BSc Degree or equivalent

Academic qualification / Speciality

• University graduate with a minimum classification of 2:1 or equivalent. Or an undergraduate currently during a course of study, predicted a minimum classification of 2:1 or equivalent

Required skills

• English (Fluent)
• French (Fluent)
• Fixed Income Basics
• Organisation and method
• Attention to detail
• Flexibility
• Motivation
• Team orientated
• Hard working
• Resilience
• Ability to prioritise
• Ability to provide solutions

Desirable role requirements
• Degree in Finance, Business Administration or Economics
• Experience in Fixed Income in France or in the UK (Internship)
• Experience in a bank (Internship)
• Attendance on Fixed Income or Bond training courses
• Databases : Bloomberg / Reuters
• IT (Bloomberg/Reuters)
• Debt Capital markets knowledge
• Excel-VBA

Technical skills required

• IT literate (Microsoft Office)
• Understanding of products (Fixed Income [bonds, loans and derivatives)