Posted August 23, 2026
Capital Markets Analyst
Precision Recruiting Solutions Group
Pittsburgh, PA, US
Full Time
100000USD - 105000USD per year
Job Description
Job Description
Position Type: Direct Hire/ Full-Time
Workplace Type: Hybrid (4 days on-site, 1 day remote)
Candidate MUST be local to Pittsburgh, PA.
Responsibilities
- Support daily balance sheet management activities through analysis, reporting, and monitoring of market conditions.
- Analyze fixed income market trends, economic developments, and interest rate movements, and communicate findings to internal stakeholders.
- Assist with asset and liability management initiatives, including evaluating funding and investment strategies.
- Support transaction workflows related to debt securities, derivatives, mortgage-backed securities (MBS), treasury instruments, repurchase agreements (repo), and federal funds transactions.
- Execute financial market transactions in accordance with established risk management guidelines and investment objectives.
- Prepare ad hoc analyses, presentations, and recommendations to support capital markets and balance sheet management decisions.
- Monitor market risk exposures and understand key risk metrics used in managing investments, funding, and liquidity positions.
- Proactively identify market developments, emerging risks, and opportunities that may impact financial performance or strategic objectives.
- Collaborate with cross-functional teams including Finance, Risk Management, Operations, Legal, Technology, and other business partners.
- Ensure adherence to applicable policies, procedures, regulatory requirements, and internal controls.
- Contribute to process improvements, workflow efficiencies, and analytical enhancements within the capital markets function.
Requirements
- Bachelor's degree in Finance, Economics, Accounting, or a related field preferred
- MBA, CFA, or other advanced financial credentials are a plus.
- 5+ years of experience in the financial services industry, with exposure to capital markets, treasury, investments, balance sheet management, or related disciplines preferred.
- Experience using financial models to evaluate investment opportunities, funding decisions, and balance sheet strategies.
- Knowledge of fixed income markets and financial instruments, including agency debt, mortgage-backed securities, treasury securities, derivatives, repurchase agreements, and federal funds markets.
- Understanding of asset and liability management principles and balance sheet management strategies.
- Familiarity with market risk measurement techniques and risk management frameworks.
- Ability to analyze and interpret financial statements and related financial data.
- Strong analytical, quantitative, and problem-solving skills.
- Excellent verbal and written communication skills, including the ability to explain complex financial concepts to diverse audiences.
- Advanced proficiency with Microsoft Excel and PowerPoint.
- Experience using Bloomberg or similar financial market data platforms.
- Familiarity with analytical and modeling software used for financial analysis and decision support.
- Demonstrated ability to work independently, manage multiple priorities, and collaborate effectively across teams.
