US Analyst Corporate and Leveraged Finance - Fund Solutions
- Company
- t Crédit Agricole Corporate and Investment Bank (Crédit Agricole CIB)
- Location
- New York, NY
- Work type
- Full Time
- Posted
- 2026-09-30
Job description
Candidate criteria
Minimal education level
Bachelor Degree / BSc Degree or equivalent
Academic qualification / Speciality
Education Essential:
Recent or soon to be college graduate in Business/Economics/Finance or related field with excellent educational record
Level of minimal experience
0-2 years
Experience
Minimum Qualifications:
Candidate is eligible to work in the US
Candidate does not require Visa Sponsorship now or in the future (including F1, OPT, CPT)
Fluent proficiency in English
Required skills
Skills & Knowledge Preferred:
Strong communication, interpersonal and collaborative teamwork skills
Ability to work under pressure with different priorities and tight project deadlines
Team orientation, strong attitude, motivation and continued eagerness
Reliability, attention to detail and quality outputs, ability to work against deadlines in a demanding environment are of the utmost importance
Expert proficiency and strong computer skills in the use of all Microsoft suite products (including but not limited to. Excel (including data formatting, data analysis, tables and charts, data validation, advanced formulas and function creation, macro creation), PowerPoint, Word, Outlook) as these tools will be utilized on a daily basis
Proficiency in use of Bloomberg
Advanced financial analysis capabilities
Strong familiarity with accounting, banking and capital markets concepts
Job Overview:
Assist FSG NA team members and management in the day-to-day tasks and responsibilities of the department, with a focus on origination, structure and execution and portfolio management.
Responsibilities:
Portfolio monitoring includes the following but not limited to:
Keep ongoing pipeline tracking of all current live deals and upcoming deals (including work streams, next steps)
Management of various reports and spreadsheets with internal tracking items (profitability and risk metrics) on a daily, weekly and monthly basis
Maintenance of internal databases as well as all the monitoring and reporting tools of the entire portfolio of transactions
Assist in the preparation of Internal reporting requirements to both local and head office teams as well as senior management
Deal lifecycle tasks include the following but not limited to:
Assist in preparation of client/external/internal presentation materials including pitch books, lender’s presentation materials, term sheets
Prepare financial analysis on funds and funds vehicles
Assist in the preparation of transaction memorandums, credit analysis and credit requests
Craft clear and succinct written analysis of fund performance, industry market trends and related commentary
Review of legal documentation and preparation of closing memos
Work with other team members, credit, legal, relationship managers, operations and senior management to ensure the timely and accurate information gathering & analysis