Operations Analyst M/F
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Position Overview & Specifications
Description du poste
Summary
The Operations team is responsible for all Middle office and Back Office processes and controls, as set out as being responsible for the administration of all the databases for all the transactions manages by the London Branch: EMTN, USMTN, Samurai, Covered Bonds on the global capital markets Loans and Borrowings with Subsidiaries and Treasury activity, including derivatives.
Your role will be to facilitate and to smoothen the processing of all Middle office and Back Office processes and controls, as set out below. You will monitor the proper hedging of the transactions, monitor the interest rate gap and liquidity gap, and provide accurate information to Senior Management. You will also be responsible for maintaining adequate procedures for the relevant area. You will develop various skills and knowledge in financial products such as Bonds, Loans and Interest Rate Cross Currency Swaps and you will gain exposure to regulatory reporting.
- Take the ownership of the reconciliation of the Front to Back office system, Production of Flow/ Stock management reports, regulatory reports such as MIFIR
- Monitor and prepare reports checking the eligibility of Micro hedging strategies to the Short Cut Method, for the purpose of assisting the Accounting area in the production of IFRS returns
- Liaise with the Head Office for the management of the Liquidity GAP
- Update and maintain the Strategies/Bundles database
- Evaluate, control and apply validated Mark to Market figures received from CACIB MAM to the Calypso system, Justify the P and L, monitor and report PNB
- Support Front Office in monitoring and reporting of new issues’ order books (ECB, rating agencies, internal committee’s reporting)
- Developing analysis and management tools on investor’s participation in new issues
- Populate and maintain Access Middle Office databases and develop efficiency initiatives.
- Produce and maintain transaction specific reporting tools for Front Office and Management
- Perform regular audits of the databases in order to enhance the quality and reliability of the information (reporting to Head-Office, Accounting) and maintain adequate procedures.
- Liaise with / report to the Head Office for the management of the Liquidity Gap
- Realise the production, monitoring and reporting the ALM interest rate Gap forecasts at month end
- Realise the reporting to French Central Bank
- Support monitoring of internal transactions and analytical NBI
- Monitoring of Liquidity Stress Scenarios
- Critères de candidature
- Educated to degree level or equivalant
Previous experience of a financial institution- English and French (fluent)
- Databases Management
- Ability to assist other departments of the Branch i.e. the Operation, Front Office and Accounting & Finance
- Ability to react quickly in case of a system problem
- Ability to design and assist system implementation or development projects
- Experience with Kondor+, Calypso
- IT literate
- VBA
- Access and other Microsoft Office tools
- Poste avec management
Non
- Cadre / Non Cadre
Non cadre
- Niveau d'étude minimum
Bac + 3 / L3
- Formation / Spécialisation
- Niveau d'expérience minimum
3 - 5 ans
- Soft skills
- Outils informatiques
- Langues
English and French (fluent)
Candidate Selection & Onboarding Process
Application & Resume Screening
Submit your tailored CV/Resume directly to the talent acquisition portal.
Technical & Competency Interviews
Virtual interviews with the hiring manager and multidisciplinary team.
Formal Offer & Benefits Negotiation
Written agreement outlining compensation, equity, retirement vesting, and relocation allowances.
Onboarding & Corporate Integration
Equipment provisioning, team orientation, and commencement of duties.
United Kingdom Right to Work & Skilled Worker Visa Guide
Employment in the United Kingdom requires legal Right to Work verified under the Home Office Points-Based Immigration System:
Sponsoring employers must hold an active Home Office A-rated Sponsor License and assign a valid Certificate of Sponsorship (CoS). Role must meet the general minimum salary threshold (£38,700) or occupation going rate.
Continuous employment under Skilled Worker status establishes eligibility for Indefinite Leave to Remain (ILR) after 5 continuous years, leading to British Citizenship.
Candidate Preparation Blueprint: Investment & Asset Management
Based on transatlantic hiring benchmarks for Operations Analyst M/F roles across Crédit Agricole S.A.'s corporate sector, successful applicants typically excel across three core dimensions:
Demonstrated portfolio evidence, architecture/system design case studies, or validated professional certifications directly applicable to Investment & Asset Management.
STAR method competency responses highlighting cross-functional leadership, conflict resolution, and delivering measurable enterprise ROI under tight timelines.
Total compensation expectation aligned within the benchmarked £39,527 - £40,000 bracket, including retirement vesting and health parity.
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