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Remote Market Risk Analyst Jobs in Alabama (NOW HIRING)

Treasury Capital Markets Analyst

Hoover, AL · On-site +1

$57K - $113K/yr

Partner with Credit Risk and Market Risk teams on limit framework design, calibration, monitoring ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

New

Treasury Capital Markets Analyst

Hoover, AL · On-site +1

$57K - $113K/yr

Partner with Credit Risk and Market Risk teams on limit framework design, calibration, monitoring ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

New

For candidates not in those locations, we would consider fully remote work for a highly qualified ... data analysis * Working knowledge of the federal, state, and local regulations / ordinances ...

Follow developing trends of market landscape * Provides training to Actuarial Analysts * Develops ... We embrace a remote-first culture through our Flexible Workplace. Most employees hold Home-Flex ...

... risk outcomes. You will be responsible for performing complex analyses to inform datadriven ... market. Sustainability: As climate change leads to more frequent and severe weather events, we are ...

... prototyping, market intelligence, and AI/ML to improve experiences for agents and members ... ML and advanced analytics) to modernize underwriting and product delivery, improve risk ...

Senior Healthcare Data Analyst - Remote

Centre, AL · Remote

$81K - $102K/yr

This position is fully remote. Overview The Healthcare Data Analyst Senior provides data analysis ... We provide market-competitive compensation packages, inclusive of base pay, incentives, and ...

$20/hr

At Harris we are disciplined deployers of capital and great owners of vertical market software ... This remote role welcomes candidates anywhere in the US. Preference will be given to candidates who ...

$20/hr

At Harris we are disciplined deployers of capital and great owners of vertical market software ... This remote role welcomes candidates anywhere in the US. Preference will be given to candidates who ...

Job Title Commercial Insurance Analytics Consultant - Remote Requisition Number R7735 Commercial ... Identifies emerging trends, risks, and external drivers (e.g., market dynamics, competitive ...

FP&A Manager - REMOTE

Birmingham, AL · Remote

$120K - $125K/yr

Qualifications: ● 5+ years of experience as a financial analyst, ideally in a PE-backed company ... Competitive range for FP&A Managers in the Atlanta market is $105K-$125K. ● Bonus: Standard bonus ...

Financial Analyst

Huntsville, AL · On-site +1

$59K - $106K/yr

This is a remote role, however, preference is for candidate selected must reside in one of the ... with market data, applicable bargaining agreement (if any), or other law. Why Leidos? * Grow with ...

... market-leading SaaS solution. As a member of the A-Team, you'll enjoy a top-notch employee ... Ability to identify and mitigate indicators of churn risk * Ability to foster collaborative ...

... market-leading SaaS solution. As a member of the A-Team, you'll enjoy a top-notch employee ... Ability to identify and mitigate indicators of churn risk * Ability to foster collaborative ...

... market-leading SaaS solution. As a member of the A-Team, you'll enjoy a top-notch employee ... Ability to identify and mitigate indicators of churn risk * Ability to foster collaborative ...

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Remote Market Risk Analyst information

What are the key skills and qualifications needed to thrive as a Remote Market Risk Analyst, and why are they important?

To thrive as a Remote Market Risk Analyst, you need strong analytical skills, a solid understanding of financial markets, and a relevant degree in finance, economics, or mathematics. Familiarity with risk management software (such as SAS, MATLAB, or Bloomberg), data analysis tools, and often professional certifications like FRM or CFA are highly valued. Excellent communication, attention to detail, and the ability to work independently are standout soft skills for this remote role. These skills ensure accurate risk assessment, effective communication of findings, and successful collaboration with global teams in a fast-paced financial environment.

What is a Remote Market Risk Analyst?

A Remote Market Risk Analyst is a finance professional who works from a remote location to identify, assess, and monitor risks that could impact financial markets and investment portfolios. They analyze market trends, economic data, and financial instruments to help organizations manage potential losses. Using specialized software and statistical models, these analysts provide insights and recommendations to minimize financial risk. Their remote role allows them to collaborate with teams and stakeholders virtually while maintaining a high level of analytical rigor.

How does a Remote Market Risk Analyst typically collaborate with trading teams and other stakeholders while working offsite?

As a Remote Market Risk Analyst, collaboration is primarily facilitated through digital communication tools such as video conferencing, instant messaging, and shared analytics platforms. You will regularly participate in virtual meetings with trading teams, portfolio managers, and compliance staff to discuss risk exposures, emerging market trends, and risk mitigation strategies. Clear documentation, timely reporting, and proactive communication are crucial for staying aligned with stakeholders and ensuring accurate, actionable risk assessments. Building strong remote relationships and maintaining responsiveness help foster effective teamwork, despite the physical distance.
What are the most commonly searched types of Market Risk Analyst jobs in Alabama? The most popular types of Market Risk Analyst jobs in Alabama are:
What cities in Alabama are hiring for Remote Market Risk Analyst jobs? Cities in Alabama with the most Remote Market Risk Analyst job openings:

Treasury Capital Markets Analyst

Huntington

Hoover, AL • On-site, Remote

$57K - $113K/yr

Full-time

Medical, Life, Retirement, PTO

Posted 2 days ago


Job description

Description

Summary

The Treasury Capital Markets Analyst reports to the Treasury Capital Markets Portfolio Manager and plays a critical role in supporting portfolio strategy, risk management, and balance‑sheet decision‑making across Treasury.

This role offers direct exposure to Portfolio Management, Mortgage Servicing Rights (MSR), Repo, and Hedging activities and is designed for a highly motivated, intellectually curious professional who takes ownership of their work and thrives in a technically demanding, fast‑paced environment. Successful candidates are expected to deliver high‑quality analysis, continuously improve processes, and grow into broader responsibility over time.

Key Responsibilities

  • Own the production, validation, and continuous improvement of daily, monthly, and quarterly regulatory and analytical reporting used by Portfolio Management, MSR, Repo, and Hedging teams.
  • Build and enhance risk, sensitivity, and performance dashboards; translate results into actionable insights used in portfolio reviews and senior‑level discussions.
  • Analyze investment strategies and securities within a relative‑value framework, partnering with senior team members to evaluate trade‑offs and quantify impacts to earnings, risk, and capital.
  • Lead or support high‑impact initiatives to enhance Treasury Capital Markets analytics, data integrity, automation, and infrastructure.
  • Collaborate closely with Liquidity, Funding, and Balance Sheet Management teams to ensure alignment across Treasury objectives and assumptions.
  • Partner with Credit Risk and Market Risk teams on limit framework design, calibration, monitoring, and governance.
  • Proactively identify analytical gaps or inefficiencies and take initiative to implement scalable solutions.
  • Communicate complex analysis clearly and concisely through written materials, dashboards, and presentations for a range of stakeholders.

Basic Qualifications

  • Bachelor’s degree in finance, Economics, Mathematics, or Engineering
  • 3+ years of experience in finance, risk management, fixed income operations, accounting, or an analytical role

Preferred Qualifications

  • Progress toward CFA or MBA, or a clear commitment to pursue advanced professional credentials.
  • Strong foundation in fixed income concepts, including duration, convexity, yield‑to‑maturity, cash‑flow discounting, and interest rate hedging.
  • Advanced proficiency in Excel (analysis, data manipulation, quality control) and PowerPoint (clear, executive‑ready communication).
  • Demonstrated ability to manage multiple priorities, meet deadlines, and maintain high standards of accuracy.
  • Strong ownership mentality and work ethic; comfortable operating with limited supervision.
  • Excellent written and verbal communication skills, with the ability to influence through well‑supported analysis.
  • Intellectual curiosity and a continuous‑improvement mindset.
  • Experience with Bloomberg, YieldBook, or similar fixed‑income analytics platforms (or proven ability to learn quickly).

Why This Role

This position offers meaningful exposure to capital markets, balance‑sheet management, and Treasury decision‑making. Analysts who perform well gain increased ownership, visibility with senior leaders, and opportunities to expand scope across portfolio management, MSR, funding, or hedging functions.


Exempt Status: (Yes = not eligible for overtime pay) (No = eligible for overtime pay)

Yes

Workplace Type:

Office

Our Approach to Office Workplace Type

Certain positions outside our branch network may be eligible for a flexible work arrangement. We’re combining the best of both worlds:  in-office and work from home. Our approach enables our teams to deepen connections, maintain a strong community, and do their best work. Remote roles will also have the opportunity to come together in our offices for moments that matter. Specific work arrangements will be provided by the hiring team.

Huntington will not sponsor applicants for this position for immigration benefits, including but not limited to assisting with obtaining work permission for F-1 students, H-1B professionals, O-1 workers, TN workers, E-3 workers, among other immigration statuses. Applicants must be currently authorized to work in the United States on a full-time basis.

Compensation Range:

$57000-$113000 Annual Salary

The compensation range represents the anticipated low and high end of the base compensation range for this position. Actual compensation will vary based on various factors including but not limited to location, experience, and education.  Colleagues in this position are also eligible to participate in an applicable incentive compensation plan.  In addition, Huntington provides a variety of benefits to colleagues, including health insurance coverage, wellness program, life and disability insurance, retirement savings plan, paid leave programs, paid holidays and paid time off (PTO). 

Huntington is an Equal Opportunity Employer.

Tobacco-Free Hiring Practice: Visit Huntington's Career Web Site for more details.

Note to Agency Recruiters:  Huntington will not pay a fee for any placement resulting from the receipt of an unsolicited resume.  All unsolicited resumes sent to any Huntington colleagues, directly or indirectly, will be considered Huntington property. Recruiting agencies must have a valid, written and fully executed Master Service Agreement and Statement of Work for consideration.