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Medium to Long-Term Funding Officer M/F

Credit Agricole Assurances group

Greater London

On-site

GBP 70,000 - 90,000

Full time

Today
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Job summary

A leading financial institution in London is seeking a professional to execute transactions in the debt capital market. Responsibilities include advising management on issuance opportunities, managing compliance for funding, and enhancing IT capabilities using tools like Python and PowerBI. The ideal candidate should have experience in financial markets and communication with investors. This role offers a dynamic environment with opportunities for direct market engagement.

Qualifications

  • Experience in Debt Capital Markets or related finance roles.
  • Proficiency in managing issuance programmes and compliance requirements.
  • Strong analytical skills with a focus on market monitoring.

Responsibilities

  • Execute Debt Capital Market transactions for various entities.
  • Advise on issuance opportunities across multiple currencies.
  • Enhance data capabilities and automate reporting processes.

Skills

Credit market analysis
Communication with investors
Python programming
Financial compliance

Tools

PowerBI
Job description

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.
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