Treasury Capital Markets
2 months ago
Description
The Treasury Capital Markets – Sr. Portfolio Manager oversees the management of diversified portfolios for the purpose of interest rate risk sensitivity management, liquidity, and profitability. Assists in the management of the Bank’s ~$40 billion interest rate derivative portfolio with focus on analyzing, selecting, and executing hedge strategies for the Bank.
Responsible for developing asset/liability hedging strategies to support overall balance sheet positioning needs hedged items include but not limited to: Mortgage Servicing assets, loans on the balance sheet, corporate debt issuances, and auto securitizations, with the goal to achieve risk and profitability objectives that comply with investment, risk, and regulatory guidelines. Work with Treasury, Interest Rate Risk, Liquidity, Enterprise Risk Management, Corporate Accounting, and Corporate Tax as necessary to accomplish these objectives.
Position Responsibilities:
Supervise, train, lead, coach, and develop a group of analysts to support the overall objectives of the hedge portfolio.
Execution of all hedge strategies developed and approved for execution.
Monitor current employed hedge strategies and instruments managing the overall portfolio for risk and profitability.
Utilizes on and off-balance sheet instruments to enhance both portfolio and overall corporate returns. Create hedge structures to hedge balance sheet interest rate risk using derivates products including, swaps, caps, floors, collars, spreads, swaptions, etc.
Work with Treasury team and FP&A to develop hedging strategies to manage ongoing interest rate risk of the bank balance sheet.
Contribute to the development of investment and portfolio management guidelines and strategies, including risk and return objectives, risk and concentration constraints, and regulatory requirements.
Aligns assigned portfolio within ALCO-approved policy guidelines.
Analyzes financial markets to develop and implement portfolio strategies consistent with the corporation's strategic goals and ALCO guidelines.
Provides technical expertise to other business lines on hedging alternatives, loan structure and funding, costs, and other off balance sheet related products.
Required Qualifications:
Bachelor's degree in Accounting, Finance or Economics
Minimum of 15 years of experience in portfolio management
Preferred Qualifications:
Master’s degree in finance, economics, or a quantitative field or hold CFA charter
Previous experience in a bank treasury environment
Deep knowledge of credit fundamentals and market risk
Strong communication/presentation skills
Strong analytical skills, ability to perform portfolio modeling and scenario analysis
Proficient in Bloomberg, Yield Book, Tradeweb, advanced knowledge of Excel/VBA/R
Exempt Status: (Yes
= not eligible for overtime pay) ( No = eligible for overtime pay)
Yes
Workplace Type:
Huntington is an equal opportunity and affirmative action employer and is committed to providing equal employment opportunities for all regardless of race, color, religion, sex, national origin, age, disability, sexual orientation, veteran status, gender identity and expression, genetic information, or any other basis protected by local, state, or federal law.
Tobacco-Free Hiring Practice: Visit Huntington's Career Web Site for more details.
Agency Statement: Huntington does not accept solicitation from Third Party Recruiters for any position
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