US Analyst Distribution and Asset Rotation (DAR) - Corporate Distribution (CLF)
Job description
Business type
Types of Jobs - Corporate & Investment Banking
Job title
US Analyst Distribution and Asset Rotation (DAR) - Corporate Distribution (CLF)
Contract type
Fixed-Term Contract
Term (in months)
24
Job summary
About Crédit Agricole CIB
Crédit Agricole CIB is the Corporate & Investment Banking arm of the Crédit Agricole Group, specializing in capital markets and investment and corporate banking. With a global footprint and deep product expertise, CACIB serves corporate and institutional clients across a full suite of financing solutions.
About the U.S. Analyst Program
This is a full-time, contractual role designed for recent graduates. The program builds early talent into future leaders through hands-on experience, structured development, and strong internal networks. Key features include:
• Conversion potential to a permanent role upon successful completion
• Skill-building through curated educational and cross-functional experiences
• Mentorship and guided internal networking
• Dedicated program support from day one
About the Role
Join Crédit Agricole CIB's Distribution and Asset Rotation (DAR) Americas team as a US Analyst supporting our Corporate / Investment Grade CLF Distribution desk. You'll play a hands-on role in the full lifecycle of syndicated transactions - from origination and pricing through to closing and execution - while gaining broad exposure across Leveraged Finance, LATAM Corporate IG, Fund Solutions, and Digital Infrastructure.
Reports to: Team Leader of Corporate Distribution
Department: DAR Americas
What You'll Do:
Syndicate Support
Prepare internal credit documents including DAR Opinions, Market Reads, and liquidity analyses
Build and maintain databases covering structuring comparables and investor analytics
Develop marketing materials such as pitches, teasers, and lender presentations
Support primary syndication activities: investor outreach, data site maintenance, and syndication tracking
Participate in drafting and negotiating legal term sheets, commitment documents, and credit agreements alongside internal and external counsel
Coordinate across credit, legal, relationship management, middle office, operations, and senior management to ensure accurate and timely deal execution
Prepare post-closing documentation including fee memos and closing memos
Submit and verify league table credits with third-party providers
Who You'll Work With:
You'll collaborate with a wide range of internal teams including Debt Capital Markets, Credit Risk, Corporate and LATAM IG, Leveraged Finance, FIG, Securitization, and senior management across the US and globally. Externally, you'll interact with banks, institutional investors, and borrowers.
Salary: $100,000
Supplementary Information
What We're Looking For:
Education
• BA/BS in Finance (required)
Skills & Competencies
• Strong financial and accounting knowledge
• Excellent written and verbal communication skills in English
• Quantitative analytical ability with strong attention to detail
• Proficiency in Microsoft Excel and PowerPoint (Word a plus)
• Ability to multitask, work under pressure, and take initiative
• Collaborative team player with a strong work ethic
Nice to Have
• Familiarity with Bloomberg, Refinitiv/Loan Connector, Debt Domain, or Diamond
• Spanish proficiency (verbal and written)
Licensing
• SIE, Series 63, and Series 79 registrations required (or willingness to obtain)
Work Authorization
• Must be eligible to work in the US
• Cannot require Visa sponsorship now or in the future (including F1, OPT, CPT, etc.)
LI-DNI
Position location
Geographical area
America, United States Of America
City
NEW YORK
Candidate criteria
Minimal education level
Bachelor Degree / BSc Degree or equivalent
Level of minimal experience
0-2 years
Languages
English