The Treasury Liquidity Analyst reports to the Liquidity Manager and assists with the execution of Huntington’s first-line liquidity risk management practices. This position is responsible for supporting critical functions integral to the liquidity risk management effectiveness of the firm, including day-to-day liquidity monitoring and reporting, contingency funding plan, long-term cash flows, liquidity risk metric and limit reporting. The role requires analytical skills, an understanding of liquidity risk principles and regulations, attention to detail, interaction with senior management, and the ability to collaborate across teams.
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Job Type
Full-time
Career Level
Mid Level