Description
The Balance Sheet Management (“BSM”) Governance Analyst is a key contributor within Corporate Treasury and reports to the BSM Governance Manager. The ideal candidate will have prior experience in Treasury or Risk Management and a strong understanding of US banking regulations. The role will collaborate across Treasury and Risk functions to support and streamline governance processes and ensure adherence to both internal policy and regulatory guidance.
Duties & Responsibilities:
- Assist with the tracking and reporting of second-line, audit, and regulatory findings.
- Actively engage with internal stakeholders including Finance & Strategy, 2nd line Market Risk Oversight, 2nd line Model Risk Management, 3rd line Internal Audit.
- Support with the facilitation of Committee meetings. Work with model developers, risk management teams, and senior management to ensure effective communication and a comprehensive meeting agenda.
- Maintain Committee administrative duties (Minutes, Attendance, Key Takeaways).
- Act as a subject-matter expert for the ERMS/Archer system for BSM, including but not limited to: developing automated tracking reports for governance items, findings management, model change management, and affiliated committee governance.
- Monitoring of control, model, and other risk-related inventories.
- Assist with the development and enhancement of BSM model documentation, procedures, policies, frameworks, standards. Conduct regular assessments to identify areas for improvement.
- Keep current on changes in regulatory requirements and industry best practices and conduct period gap analyses to assist relevant stakeholders.
- Other duties as assigned.
Basic Qualifications:
- Bachelor’s degree with 3+ years of experience in Treasury, Risk Management, or Governance within financial services.
Preferred Qualifications:
- Excellent written and verbal communication skills, with experience interpreting and explaining technical information to non-technical audiences.
- Experience in a model validation, model governance, audit, or risk related role with ability to view risks at both the product and balance sheet level.
- Knowledge of regulatory requirements and industry best practices related to Treasury operations, including familiarity with supervisory guidance such as SR 10-1, SR 11-7, and other relevant regulations.
- Demonstrated experience with ERMS/Archer or similar risk platform.
- Strong project management skills with ability to multi-task while working both independently and collaboratively on different deadline-oriented assignments.
- Effective research skills with ability to tell a story from fact based or data driven insights.
- High proficiency in Microsoft Office Suite, with advanced ability in Excel and PowerPoint.
- A highly collaborative approach with focus on innovation and learning.
Exempt Status: Yes (not eligible for overtime pay)
Workplace Type: Hybrid
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.
#J-18808-Ljbffr