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ALM Analyst

Crédit Agricole S.A. New York, United States
Posted 3 days ago Permanent Competitive

ALM Analyst

Crédit Agricole S.A. New York, United States
ALM Analyst

Description du poste




Type de métier



Types de métiers Crédit Agricole S.A. - Financement et Investissement




Types de métier complémentaires



Types de métiers Crédit Agricole S.A. - Analyse financière et économique

Types de métiers Crédit Agricole S.A. - Finances / Comptabilité / Contrôle de gestion




Intitulé du poste



ALM Analyst




Type de contrat



VIE




Durée (en mois)



12 months




Date prévue de prise de fonction



01/12/2026




Missions



You will join
Crédit Agricole CIB Americas as
ALM Analyst.




The Financial Steering and ALM Division is responsible for, the following product lines: Profit and Internal Pricing (PIP), Financial Analysis, and Assets and Liabilities Management (ALM) within Crédit Agricole CIB Americas.



ALM is responsible for the monitoring and supervision of financial risks (other than market transactions), within the framework of the guidelines set by the Asset and Liability Committee (ALCO). This relates to a range of risks:



  • global interest-rate risk,

  • exchange-rate risk,

  • liquidity and funding risk at more than one year



It is also responsible for prudential ratios (solvency ratios applicable to banks), particularly through: Quarterly forecasts of changes in solvency ratios; Tools for measuring ex-post profitability of capital (profitability per customer and employment of capital). It is responsible for ensuring compliance with Enhanced Prudential Standards (EPS) liquidity requirements for Foreign Banking Organizations.




Your concrete missions will be the following :



  • Preparation of Committee material

  • Liquidity invoicing management (Fund Transfer pricing) and tool maintenance, including assist front offices on liquidity invoicing rules and costs

  • Follow-up on internal liquidity invoicing process

  • Update policy and procedures as needed and periodically

  • Daily monitoring of all limits, alert levels and targets (Funding Dashboard)

  • Liquidity Balance sheet management

  • Liquidity Stress Testing

  • Support when needed other ALM staff on various topics



The position involves coordination and cross-training with other members of the Financial Steering and ALM team (ALM, PIP, and the Financial Analysis team) in New York and worldwide, as well as New-York Front office, Risk and IT departments.




To be eligible for a VIE :



  • Be less than 29 years old

  • Be graduated of Master Degree

  • Be EU citizen




Don't forget to mention this information explicitly in English in your resume and/or cover letter!




Localisation du poste




Zone géographique



Amérique, Etats-Unis d'Amérique




Ville



NEW YORK




Critères candidat




Niveau d'études minimum



Bac + 5 / M2 et plus




Formation / Spécialisation




Are you our future VIE ?



You are
postgraduate of a
Master Degree from an
University,
Business School or
Engineering School with a
specialization in
Business or
Finance .




Niveau d'expérience minimum



0 - 2 ans




Expérience




A previous experience in bank is necessary (Financial Analysis, Macro Economics, Fixed Income, Risk Management or Banking).




Compétences recherchées




Hard Skills :



  • Knowledge of the regulatory compliance ;

  • Knowledge of liquidity management ;

  • Advanced level in Excel, PowerPoint and PowerBI;

  • Some Python skills are a plus ;

  • Fluent French and English.




Soft Skills :



  • Attention to details

  • Strong work ethic

  • Excellent interpersonal and communication skills.

Job ID  115633
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