Analyste Risque de Marché H/F
Crédit Agricole Corporate and Investment Bank (Crédit Agricole CIB)Montrouge, France (Hybrid)
Job description
You will join the MCR (Market Counterparty Risk) department, which monitors market risks, within the IPV (Independent Pricing Verification) team. The team monitors the valuation of most products in Crédit Agricole CIB's portfolio, including vanilla interest-rate products, foreign exchange products and bonds.
Your responsibilities will include:
- Controlling and validating the marking of market parameters, including interest-rate curves, foreign exchange, repo and bonds.
- Studying market bid-ask variations.
- Studying price sources from Bloomberg and Reuters.
- Contributing to observability topics, including defining the uncertainty related to the valuation of financial products using available market information, reviewing products and building mapping.
- Optimizing existing processes through the migration and improvement of tools in a new ecosystem.
Candidate profile
- Education: University, business school or engineering school.
- Specialization: Market finance.
- Study level: 1-year Master's (M1).
- Experience: 0–2 years.
- Strong knowledge of Python, VBA and Microsoft Excel.
- Fluent French and English.
- Team spirit, curiosity, willingness to learn, proactivity and autonomy.
This six-month internship starts on 19 October 2026. The position is eligible for remote work under the applicable agreement, based on mutual agreement between the employee and manager and after successful onboarding.
About Crédit Agricole Corporate and Investment Bank
Crédit Agricole CIB is the corporate and investment bank of the Crédit Agricole group. It supports major companies and financial institutions in developing and financing their projects, with social and environmental commitments at the heart of its activities.
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