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Indosuez Wealth Management

Indosuez Wealth Management

www.ca-indosuez.com

1 Job

2,390 Employees

About the Company

Indosuez Wealth Management is the global wealth management brand of Crédit Agricole Group, ranked 9th largest bank in the world based on balance sheet (The Banker 2024). With more than 145 years of experience serving families and entrepreneurs around the world, Indosuez Wealth Management offers a tailored approach that enables our clients to protect and develop their wealth according to their aspirations. Its teams take a comprehensive view and provide expert advice and exceptional service, offering a wide range of services for the management of both personal and professional assets. Recognised for its international dimension and human scale, Indosuez Wealth Management employs nearly 4,500 people in 16 locations around the world, in Europe, Asia-Pacific, America and the Middle East. With 215 billion euros in assets under management (as of 31/12/2024), Indosuez Wealth Management is one of the world's leading wealth management companies. The Indosuez Wealth Management network is represented in Monaco by CFM Indosuez Wealth Management, the Principality’s leading bank. Its roots go back to 1922, the year it was founded by major Monegasque families, some of whom still hold nearly 30% of its capital. In 2022, CFM Indosuez Wealth Management celebrated its 100th anniversary and was voted the best bank in the Principality by the international magazine Global Finance for the sixth consecutive year. #WeAreIndosuezGroup #Indosuez #WealthManagement #WealthandBeyond #ArchitectsofWealth #CFMIndosuez #CFM #wealth

Listed Jobs

Company background Company brand
Company Name
Indosuez Wealth Management
Job Title
Senior Credit Analyst H/F
Job Description
**Job title:** Senior Credit Analyst (Female/Male) **Role Summary:** Senior Credit Analyst reports to the Credit Research Manager, part of the Investment Strategy Group (ISG). Focuses on fundamental credit analysis of issuers across investment‑grade and high‑yield corporate bonds, global markets. Provides credit opinions, recommendations, and contributes to the fixed‑income strategy and internal tools. **Expectations:** - Deliver rigorous fundamental analysis for investment‑grade and high‑yield issuers. - Generate actionable credit opinions and relative value recommendations. - Monitor issuer performance, publish insights, and engage with external stakeholders. - Incorporate ESG factors into credit assessment. - Collaborate closely with region‑specific portfolio managers and advisors. - Support strategy formulation, internal presentations, and research tool development. **Key Responsibilities:** 1. Conduct detailed financial and sector analysis of issuers; assess credit risk. 2. Produce credit opinions, investment recommendations, and relative‑value insights. 3. Track issuer results, news, and research releases; proactively analyze developments. 4. Engage with sell‑side analysts, issuer management, and investor relations teams. 5. Coordinate with portfolio managers and advisors across global regions. 6. Cover both investment‑grade and high‑yield markets, applying top‑down and bottom‑up approaches. 7. Integrate ESG criteria into analysis and issuer selection. 8. Contribute to fixed‑income strategy discussions and internal presentations. 9. Develop and refine internal research tools and data sharing processes. 10. Interact with other research teams within the Indosuez group. **Required Skills:** - Advanced analytical and critical‑thinking abilities. - Strong written and verbal communication skills in English (C1). - Excellent relational skills; ability to collaborate across teams and with external parties. - Prioritized task management and proactive anticipation of market trends. - Autonomy in research and decision‑making. - Deep understanding of debt instruments and structures. - Proficiency with Bloomberg; VBA or Python coding valuable. **Required Education & Certifications:** - Master’s degree or equivalent in finance, economics, accounting, or related field. - Minimum 6–10 years of credit analysis experience in a financial institution (buy‑side or sell‑side) or rating agency. - Core expertise in corporate bonds, especially high‑yield; experience covering financial sector or other corporate issuers advantageous.
Paris, France
On site
Senior
06-01-2026