Lead Analyst, Capital Markets Analytics

FHLBank Pittsburgh

$80K — $110K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in business, economics, mathematics, accounting or equivalent experience.
  • 5+ years in capital markets, risk management, finance, or related fields.
  • Proficient in Tableau Desktop for dashboards and reporting.
  • Strong analytical, quantitative, and problem-solving skills.
  • Understanding of bank balance sheets and risk management techniques.

Responsibilities

  • Design and create presentations for the Board and committees.
  • Conduct ad hoc analyses on capital market conditions and industry trends.
  • Oversee the advance rate setting process to ensure compliance and accuracy.
  • Monitor funding and hedging activities, cross-training when needed.
  • Produce reports utilizing Tableau to support strategic decision-making.
  • Perform testing for system enhancements and upgrades.
  • Collaborate with management to recommend improvements for analysis and reporting.

Benefits

  • Comprehensive health and wellness programs.
  • Professional development and training opportunities.
  • Flexible work arrangements and work-life balance support.
  • Retirement savings plan with employer match.
  • Generous leave policies including vacation, sick leave, and holidays.
Full Job Description
Position Summary

The Lead Analyst will be responsible for designing presentations for internal and external stakeholders and performing research and analysis to support strategic decision making. They will also oversee and ensure the advance rate setting process is completed timely and accurately. In addition, the Lead Analyst will serve as a subject matter expert for system upgrades, business continuity planning, and risk assessments.

Primary Success Factors
  • Designs and creates materials presented to the Board and Bank committees, and strategic management discussions
  • Performs ad hoc analysis of capital market conditions, industry trends and regulatory developments
  • Ensures the advance rate setting is performed in accordance with required policies, procedures and the Bank's control environment and completed within prescribed timeframes
  • Observes funding and hedging activities and cross trains where appropriate
  • Utilizing Tableau and CDR produces reports to support the Capital Markets strategic decision-making process. These include routine and ad hoc reporting on the Bank's liquidity, funding, hedging and investment portfolios
  • Performs testing for system enhancements and upgrades
  • Works with management to evaluate and recommend new or improved processes to efficiently and accurately perform analysis and reporting
  • Assists with departmental risk assessments, EUC and business continuity planning activities
  • Maintains contact and fosters effective relationships with the Centralized Operational Resources, Risk Management, Members Services and Finance departments to ensure the free flow of important information among the various departments. Utilize these relationships to develop a greater understanding of balance sheet risk management, member products and financial reporting
  • Ensures compliance with applicable policies, procedures and regulations to ensure safe and sound business operations


Required Experience
  • Bachelor's degree in business, economics, mathematics, accounting or equivalent experience.
  • 5 or more years of experience in capital markets, risk management, finance or equivalent.
  • Knowledge of Bank's customers, business, products and strategic goals
  • Experience with Tableau Desktop developing and modifying dashboards and reports
  • Strong analytical, quantitative and problem resolution skills
  • Basic project management skills
  • Strong internal control orientation
  • Basic understanding of fixed income concepts and economic factors that influence capital markets. Familiarity with derivatives and financial modeling is a plus
  • Understanding of bank balance sheets and interrelationships among components of bank balance sheets, risk management, and risk management techniques
  • Experience utilizing Microsoft Excel, PowerPoint, Bloomberg and Tableau


Candidates with a Bachelor's degree in business, economics, mathematics, accounting or equivalent experience and at least 3 years of experience in capital markets, risk management, finance or equivalent may be considered for a lower level Analyst position.

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