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US Analyst - Liquidity Risk Management


Vacancy details

General information

Entity

About Crédit Agricole Corporate and Investment Bank (Crédit Agricole CIB)

Crédit Agricole CIB is the corporate and investment bank of the Crédit Agricole group, the 10th largest banking group in the world *.

We support major companies and financial institutions in their development and the financing of their projects.

As pioneers in responsible finance, social and environmental commitments are at the heart of our activities.

Joining our teams means working in a multicultural environment, both dynamic and stimulating, where you will contribute to developing a sustainable economy.

We support employees throughout their journey: you will develop your skills and access various mobility opportunities among the diversity of our businesses in more than 30 international locations.

Our culture is built on collaboration, innovation and openness, where everyone is valued and empowered.

By working every day in the interest of society, Crédit Agricole CIB aligns with the Group values committed to diversity and inclusion and placing people at the heart of all its transformations.

All our jobs are open to people with disabilities. We welcome applications from candidates of all backgrounds and experiences.

Ready to take part in our mission ?

*By balance sheet size - The Banker, Juillet 2025  

Reference

2026-110745  

Update date

26/03/2026

Job description

Business type

Types of Jobs - Risk Management / Control

Job title

US Analyst - Liquidity Risk Management

Contract type

Fixed-Term Contract

Term (in months)

24

Expected start date

04/05/2026

Management position

No

Job summary

Primary Function:  Risk Management / Liquidity Risk Management US Analyst

 
Responsibilities:

The candidate will have the following daily responsibilities:

  • Produce and analyze the liquidity stresses for the Bank ;
  • Produce and Analyze Asset and Liabilities reports for the Bank ;
  • Raise alerts on atypical events/ movements.

 

The candidate will also conduct specific analyzes on the liquidity situation of the Bank as needed and will work on maintaining and developing the existing risk management models/ tools (review of model assumptions, inclusion of new products/ activities etc.).

 

The candidate will work closely with the Senior Liquidity Risk Manager and report to the Market and Counterparty Risk for the America. The candidate will have regular interactions with other key partners in the Bank on specific topics:

  • Treasury/ ALM: discuss with the desk to understand their management of the liquidity of the Bank. Discuss potential enhancements to the monitoring framework.
  • IT: define business requirements and follow-up on developments of the risk tools.
  • Market Risk team: work closely with the product control and the risk management team on topics related to liquidity (booking in FO systems, large transactions, pricing of new deals etc.)

 

Develop the tools implemented by the Risk team: enhancement of excel files with VBA macros, potentially Python programming.

 
Position

Report to Head of Market and Counterparty Risk for the Americas

 

 

Salary: $80,000

#LI-DNI

Position location

Geographical area

America, United States Of America

City

NEW YORK

Candidate criteria

Experience

Requirements:

  • Candidate is a recent graduate with 0-1 years of experience
  • Candidate is eligible to work in the US
  • Candidate will not require Visa Sponsorship now or in the future (including F1, OPT, CPT, etc.)
  • Excellent knowledge of Financial Products especially financing products;
  • Good quantitative/ analytical skills to understand and develop the liquidity model.
  • Good Knowledge of Excel and Access. Ability to maintain VBA Macros; Knowledge of Python is a plus;
  • Good communication and organization skills;
  • Ability to work and interact effectively with the other Departments of the bank and in particular with the Treasury, ALM and IT departments.

Languages

English