See more Collapse

Treasury Capital Markets

2 months ago


Chicago, United States Huntington Bancshares, Inc. Full time

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

#J-18808-Ljbffr


We have other current jobs related to this field that you can find below


  • Chicago, United States Cabrera Capital Markets, LLC Full time

    Job DescriptionJob DescriptionPosition: Vice President Capital Markets Location: Onsite in Chicago, ILDuties & Responsibilities:Lead and manage the execution of capital raising transactionsWork closely with senior bankers to develop financing strategies for clientsAnalyze industry and market trends to identify potential opportunities for clientsPrepare pitch...


  • Chicago, United States Cabrera Capital Markets, LLC Full time

    Job DescriptionJob DescriptionPosition: Vice President Capital Markets Location: Onsite in Chicago, ILDuties & Responsibilities:Lead and manage the execution of capital raising transactionsWork closely with senior bankers to develop financing strategies for clientsAnalyze industry and market trends to identify potential opportunities for clientsPrepare pitch...

  • Quantitative ALM

    3 weeks ago


    Chicago, United States Charles Schwab Full time

    Your Opportunity At Schwab, you're empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us "challenge the status quo" and transform the finance industry together. The Treasury Capital Markets (TCM) function within Corporate Treasury manages fixed-income investments in several portfolios totaling...


  • Chicago, United States CNA Full time

    Senior Financial Analyst - Treasury Capital Markets and Investment Operations page is loaded Senior Financial Analyst - Treasury Capital Markets and Investment Operations Apply locations Chicago, IL, USA time type Full time posted on Posted 4 Days Ago job requisition id R-3249 You have a clear vision of where your career can go. And we have the leadership to...


  • Chicago, United States CNA Full time

    Senior Financial Analyst - Treasury Capital Markets and Investment Operations page is loaded Senior Financial Analyst - Treasury Capital Markets and Investment Operations Apply locations Chicago, IL, USA time type Full time posted on Posted 4 Days Ago job requisition id R-3249 You have a clear vision of where your career can go. And we have the leadership to...

  • Treasury Analyst

    2 months ago


    Chicago, United States Golub Capital BDC Inc Full time

    Position Information Hiring Manager: Assistant Vice President Department: Treasury Department Overview The Treasury Department is responsible for the Firm's overall cash management, allocation of investment opportunities and maintenance of third-party lines of credit. Primary functions within Treasury include short and long-term cash forecasting, pre-trade...

  • Treasury Analyst

    1 month ago


    Chicago, United States FHLB Des Moines Full time

    The Treasury Department is responsible for the Firm’s overall cash management, allocation of investment opportunities and maintenance of third-party debt facilities. Primary functions within Treasury include short and long-term cash forecasting, FX management, pre-trade compliance, asset allocations, cash positioning, liquidity optimization and debt...

  • Treasury Analyst

    2 months ago


    Chicago, Illinois, United States Joseph T. Ryerson & Son, Inc Full time

    Position Description:Ryerson has an opportunity for a Treasury Analyst. This position has an important impact on the company's cash and debt management. It requires an understanding of corporate treasury cash management operations, capital market transactions, managing banking relationships, and effective communication within the Treasury and Finance team....

  • Credit Analyst

    4 weeks ago


    Chicago, United States Northern Trust Full time

    About Northern Trust: Northern Trust, a Fortune 500 company, is a globally recognized, award-winning financial institution that has been in continuous operation since 1889. Northern Trust is proud to provide innovative financial services and guidance to the world’s most successful individuals, families, and institutions by remaining true to our enduring...


  • Chicago, United States Archer Daniels Midland Company Full time

    Job DescriptionSenior Financial Analyst (Capital Markets) - Chicago, IL This is a full time, exempt position Position Summary: The Treasury's Senior Financial Analyst position is an excellent opportunity to understand ADM's financial performance by working cross-functionally throughout the company to ensure that ADM has the capital resources to continue to...


  • Chicago, United States Kraft Heinz Company Full time

    Treasury Director, Strategy and AnalyticsSummary: The Director, Treasury Analytics and Strategy will report to the Treasurer and will need to be highly analytical and able to solve complex financial problems, with recurring interaction with company leadership. Our ideal candidate must have the gravitas to positively lead within the department, engage...

  • Manager, Treasury

    3 months ago


    Chicago, United States CDW Full time

    Manager Treasury (Hybrid)   The Treasury Manager (hybrid) is responsible for managing treasury activities for the company, including daily cash management and forecasting, banking operations and cash forecasting, and debt administration, and is an integral contributor to Treasury’s forward-looking strategies.   Key Areas of...

  • Manager, Treasury

    3 months ago


    Chicago, Illinois, United States CDW Full time

    Manager Treasury (Hybrid)The Treasury Manager (hybrid) is responsible for managing treasury activities for the company, including daily cash management and forecasting, banking operations and cash forecasting, and debt administration, and is an integral contributor to Treasury's forward-looking strategies. Key Areas of Responsibility Banking Administration:...


  • Chicago, United States Clear Street Full time

    About Clear Street: Clear Street is modernizing the brokerage ecosystem. Founded in 2018, Clear Street is a diversified financial services firm replacing the legacy infrastructure used across capital markets. We started from scratch by building a completely cloud-native clearing and custody system designed for today's complex, global market. Clear Street's...

  • Credit Analyst

    3 months ago


    Chicago, United States Northern Trust Full time

    About Northern Trust:Northern Trust, a Fortune 500 company, is a globally recognized, award-winning financial institution that has been in continuous operation since 1889.Northern Trust is proud to provide innovative financial services and guidance to the world’s most successful individuals, families, and institutions by remaining true to our enduring...


  • Chicago, United States Kraft Heinz Company Full time

    Job DescriptionSummary:The Director, Treasury Analytics and Strategy will report to the Treasurer and will need to be highly analytical and able to solve complex financial problems, with recurring interaction with company leadership. Our ideal candidate must have the gravitas to positively lead within the department, engage positively with stakeholders and...


  • Chicago, United States JPMorgan Chase Full time

    Do you enjoy building relationships and leading a team? You have found the right team! As the Head of Core Treasury Sales within the Middle Market Banking sector, you will be responsible for the comprehensive management of a team of Treasury Sales professionals across North America. Your role will encompass nurturing and sustaining trusted advisor...

  • Treasury Analyst

    2 months ago


    Chicago, United States Joseph T. Ryerson & Son, Inc Full time

    Position Description: Ryerson has an opportunity for a Treasury Analyst. This position has an important impact on the company's cash and debt management. It requires an understanding of corporate treasury cash management operations, capital market transactions, managing banking relationships, and effective communication within the Treasury and Finance...


  • Chicago, United States Kraft Heinz Full time

    Job Description Summary: The Director, Treasury Analytics and Strategy will report to the Treasurer and will need to be highly analytical and able to solve complex financial problems, with recurring interaction with company leadership. Our ideal candidate must have the gravitas to positively lead within the department, engage positively with stakeholders and...


  • Chicago, Illinois, United States Kraft Heinz Full time

    Job Description Summary: The Director, Treasury Analytics and Strategy will report to the Treasurer and will need to be highly analytical and able to solve complex financial problems, with recurring interaction with company leadership. Our ideal candidate must have the gravitas to positively lead within the department, engage positively with stakeholders and...