Medium to Long-term Funding Officer

Crédit Agricole CIB

England

On-site

GBP 60,000 - 100,000

Full time

14 days+
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Job summary

A major European banking group is seeking a Medium to Long-term Funding Officer to execute high-profile funding transactions and advise senior management on issuance opportunities. Ideal candidates will have a degree in Finance or Economics, strong analytical skills, and proficiency in both IT and financial products. Fluency in English and French is required. This full-time position offers exposure to multi-currency markets in a collaborative environment focused on innovation and precision.

Qualifications

  • Experience in an investment banking environment is a plus.
  • Strong understanding of bonds, loans, and derivatives.
  • Ability to prioritize and deliver solutions in a fast-paced environment.

Responsibilities

  • Execute Debt Capital Market transactions for various funding sources.
  • Advise on issuance opportunities across multiple currencies.
  • Engage with investment banks and derivative trading teams.
  • Manage issuance programmes and compliance requirements.
  • Support intra-group refinancing and investor communication.
  • Enhance IT and data capabilities through reporting tools.

Skills

Understanding of Fixed Income products
Analytical mindset
IT proficiency
Fluent in English
Fluent in French

Education

Degree in Finance, Economics, or related field

Tools

Microsoft Office
Bloomberg
Reuters
Python
PowerBI

Job description

Medium to Long-term Funding Officer at Crédit Agricole CIB

At Crédit Agricole S.A. London Branch, our Medium to Long-Term Funding Desk is at the heart of the Group’s wholesale debt market activity, delivering innovative funding solutions and liquidity to subsidiaries across retail banking, specialized finance, asset management, and insurance.

Key Responsibilities
  • Execute Debt Capital Market transactions: Senior unsecured and capital funding for Crédit Agricole S.A., plus covered bond issuances for Group entities
  • Advise senior management on issuance opportunities across multiple currencies (EUR, USD, GBP, CHF, AUD, JPY, CNY, SGD, NOK)
  • Engage daily with global investment banks, syndicate desks, EMTN dealers, and derivative trading teams
  • Manage issuance programmes and ensure compliance with financial disclosure requirements
  • Support intra-group refinancing: Execute loans, restructurings, early redemptions, and hedging strategies
  • Drive investor communication: Prepare presentations, respond to investor queries, and contribute to roadshows
  • Monitor markets and liquidity: Produce market updates, liquidity grids, and automated tools for secondary market tracking
  • Enhance IT and data capabilities: Develop tools using Python and PowerBI, automate reporting, and improve execution frameworks
What We’re Looking For
  • Education: Degree in a quantitative or business discipline related to Fixed Income (Finance, Economics, Business Administration preferred)
  • Experience: Prior exposure to finance in an investment banking environment; experience in Debt Capital Markets or funding teams is a plus
  • Skills: Strong understanding of Fixed Income products, bonds, loans, and derivatives. IT proficiency (Microsoft Office, Bloomberg/Reuters); Python and PowerBI desirable
  • Fluent in English and French
  • Competencies: Analytical mindset, attention to detail, resilience, ability to prioritize and deliver solutions in a fast-paced environment
Why Join Us?
  • Work on high-profile funding transactions for one of Europe’s largest banking groups
  • Collaborate with senior stakeholders and global investment banks
  • Gain exposure to multi-currency markets and complex financial instruments
  • Be part of a team that values innovation, precision, and collaboration
Details
  • Seniority level: Associate
  • Employment type: Full-time
  • Job function: Finance
  • Industries: Banking, Investment Banking, Financial Services
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