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Huntington National Bank

Treasury Capital Markets Analyst

Huntington National Bank

Treasury Capital Markets Analyst supporting portfolio strategy and decision-making at Huntington. Engaging in high-quality analysis and growing into broader responsibilities.

Posted 7/8/2026full-timeColumbus • Alabama, Illinois, North Carolina, Ohio, Pennsylvania • 🇺🇸 United StatesMid-LevelSenior💰 $57,000 - $113,000 per yearWebsite

About the role

Key responsibilities & impact
  • Own the production, validation, and continuous improvement of daily, monthly, and quarterly regulatory and analytical reporting used by Portfolio Management, MSR, Repo, and Hedging teams
  • Build and enhance risk, sensitivity, and performance dashboards; translate results into actionable insights used in portfolio reviews and senior‑level discussions
  • Analyze investment strategies and securities within a relative‑value framework, partnering with senior team members to evaluate trade‑offs and quantify impacts to earnings, risk, and capital
  • Lead or support high‑impact initiatives to enhance Treasury Capital Markets analytics, data integrity, automation, and infrastructure
  • Collaborate closely with Liquidity, Funding, and Balance Sheet Management teams to ensure alignment across Treasury objectives and assumptions
  • Partner with Credit Risk and Market Risk teams on limit framework design, calibration, monitoring, and governance
  • Proactively identify analytical gaps or inefficiencies and take initiative to implement scalable solutions
  • Communicate complex analysis clearly and concisely through written materials, dashboards, and presentations for a range of stakeholders

Requirements

What you’ll need
  • Bachelor’s degree in finance, Economics, Mathematics, or Engineering
  • 3+ years of experience in finance, risk management, fixed income operations, accounting, or an analytical role
  • Progress toward CFA or MBA, or a clear commitment to pursue advanced professional credentials
  • Strong foundation in fixed income concepts, including duration, convexity, yield‑to‑maturity, cash‑flow discounting, and interest rate hedging
  • Advanced proficiency in Excel (analysis, data manipulation, quality control) and PowerPoint (clear, executive‑ready communication)
  • Demonstrated ability to manage multiple priorities, meet deadlines, and maintain high standards of accuracy
  • Strong ownership mentality and work ethic; comfortable operating with limited supervision
  • Excellent written and verbal communication skills, with the ability to influence through well‑supported analysis
  • Intellectual curiosity and a continuous‑improvement mindset
  • Experience with Bloomberg, YieldBook, or similar fixed‑income analytics platforms (or proven ability to learn quickly)

Benefits

Comp & perks
  • health insurance coverage
  • wellness program
  • life and disability insurance
  • retirement savings plan
  • paid leave programs
  • paid holidays
  • paid time off (PTO)

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills & Tools
Financial AnalysisRisk ManagementFixed Income OperationsData ManipulationQuality ControlPortfolio ManagementAnalytical ReportingPerformance DashboardsInvestment Strategy AnalysisLimit Framework Design
Soft Skills
Excellent Communication SkillsOwnership MentalityIntellectual CuriosityContinuous Improvement MindsetAbility to Manage Multiple Priorities
Certifications
CFAMBA