Global Markets Trainee Structurer, Corporate Structuring APAC (One-Year Contract)

Crédit Agricole CIB

  • Hong Kong
  • Training
  • Full-time
  • 19 days ago
SummaryCorporate Structuring is a specialized cross-asset team within Global Markets division at CACIB, focusing on derivative & advisory solutions for corporate clients. The focus clients include large and local corporates, MNCs, family offices, financial sponsors (infrastructure & private equity), commodity trading companies and limited or non-recourse structured finance project vehicles. Together with Sales & Trading, the Structuring team is both client and deal oriented, and brings together expertise in derivative markets across asset classes. The global team also in-houses expertise in diversified areas spanning financial engineering, corporate risk advisory, accounting, financial regulation, legal & documentation, sustainable finance.The ideal candidate will complete all degree requirements and ready to start working by May 2024. Trainee contract is one year to begin with and renewable for up to two years in total.Key Responsibilities
  • Pricing & execution of derivative transactions: non-linear IR & FX products comprise the majority, but scope extends to any transactions needed for corporate hedging, financing or investment activities e.g. linear derivatives and alternative asset classes (precious metals, hybrids, credit, repos) are also often relevant.
  • Master day to day pricing, market and credit risk concepts (including XVA, RWA), and understand broad corporate client business requirements and solutions.
  • Ensure smooth engagement between trading & sales, and foster cooperation & trust.
  • Prepare training & marketing materials for corporate sales and clients within APAC.
  • Assist in design & development of new products, tools, content in response to clients' needs, sales feedback, market intelligence; and subsequently coordinate internal product development process when needed
  • Assist in local implementation of appropriate / tailor made “packaging” and “financing solutions” (EMTN, fund, loan, repack, flexi-loan, liquidity / risk transfer solutions) with a strong transactional motivation in order to optimise client objectives versus risk, accounting and/or regulatory constraints
Personal data provided by job applicants will be used strictly in accordance with the employer's personal data policies, a copy of which will be provided immediately upon request.La version française est disponible sur demande à votre RH localePosition locationGeographical areaAsia, Hong KongCityHONG KONGCandidate criteriaMinimal education levelBachelor Degree / BSc Degree or equivalentAcademic qualification / SpecialityBachelors or higher university degree in quantitative (STEM), finance, or economics majors with less than 12 months' full-time experiencesLevel of minimal experience0-2 yearsExperience
  • Prior exposure or experience in FX, Rates, or other financial market products would be a plus
Required skills
  • Fast learner, pro-active, demonstrates initiative and commercial approach
  • Keen interest in financial markets, structured products & risk solutions, product development
  • Detail oriented, thoroughness to understand complex structures, risks & documentation as part of long term career development
Technical skills required
  • Analytical, numerate, innovative skills and adaptability to work under pressure in fast moving markets
  • Clear verbal & written communication skills
LanguagesFluent English, knowledge of an Asian local language would be a plus

Crédit Agricole CIB