Senior Model Governance & Analytics Analyst

Huntington National BankColumbus, OH
110d$70,000 - $140,000

About The Position

We are seeking a skilled and motivated Capital Markets Analyst to join our Enterprise Trading and Analytics team. This role is responsible for managing the ongoing monitoring of valuation and risk models, coordinating data integration between trading and risk systems and downstream reporting processes, and developing enhanced reporting tools to support trading desk performance and risk transparency. The ideal candidate will have a strong understanding of capital markets products, risk management practices, and data analytics, with the ability to work cross-functionally across trading, risk, and technology teams.

Requirements

  • Bachelor’s in Finance, Economics, Mathematics, Engineering, or a related field and 3 or more years of experience in capital markets and/or model risk management, preferably within a U.S. banking institution.
  • OR Master’s degree in Finance, Economics, Mathematics, Engineering, or a related field.
  • Experience in data analysis and programming tools (Python, SQL, Excel/VBA).
  • Familiarity with U.S. banking regulations and model governance standards.

Nice To Haves

  • Experience in model risk management or quantitative risk analytics.
  • Knowledge of regulatory frameworks such as FRTB, CCAR, and SR 11-7.
  • Strong communication, presentation, and stakeholder management skills.

Responsibilities

  • Oversee the ongoing performance and validation of valuation and risk models used across trading desks.
  • Develop and maintain model governance metrics, including backtesting, benchmarking, and exception tracking.
  • Partner with Model Risk Management and Market Risk teams to ensure compliance with regulatory expectations (e.g., SR 11-7, Basel III).
  • Lead efforts to integrate and reconcile data between front-office trading platforms and risk systems.
  • Collaborate with technology teams to enhance data pipelines and ensure consistency in trade capture, pricing, and risk metrics.
  • Troubleshoot data quality issues and support system enhancements impacting risk and P&L reporting.
  • Design and implement advanced reporting solutions for trading risk, P&L attribution, and portfolio performance.
  • Automate reporting workflows using tools such as Python, SQL, and visualization platforms (e.g., Tableau, Power BI).
  • Provide actionable insights to Capital Markets and Risk leadership through ad hoc analysis and scenario modeling.

Benefits

  • Health insurance coverage
  • Wellness program
  • Life and disability insurance
  • Retirement savings plan
  • Paid leave programs
  • Paid holidays
  • Paid time off (PTO)

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What This Job Offers

Job Type

Full-time

Career Level

Mid Level

Education Level

Bachelor's degree

Number of Employees

5,001-10,000 employees

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