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Capital Markets Associate

Job

Pilot Company

Full-Time

Posted 2 weeks ago (Updated 2 weeks ago) • Actively hiring

Expires 6/5/2026

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Job Description

Raymond James Financial, Inc. Keyword Location Search view all jobs Capital Markets Associate Pittsburgh, PA Posted 2 days ago Apply Now Summary of the
Position:
The Capital Markets Associate will support the Capital Markets Team in the day-to-day management of the bank's Capital Markets activities. This includes support of the Bank's Asset / Liability Management Committee ("ALCO"), securities portfolio, treasury activity, derivatives portfolio, and deposit portfolio. Primary Functions of the
Position:
Work with the Capital Markets LOB Risk Manager and SVP - Financial Analyst in using the Bank's asset/liability management and interest rate risk modeling software to produce an annual budget, periodic Interest Rate Risk analyses, as needed scenario analyses, periodic capital stress testing exercises, and periodic reforecasting. Structures, markets, and executes all interest rate swap transactions (including documentation). Provides interest rate derivative quotes, swap exposure calculations, and marketing materials to the Bank's Relationship Managers, Market Presidents, and Capital Markets team. Assist in the weekly production of ALCO meeting materials. Produce materials used in the at-inception underwriting and ongoing quarterly review of securities portfolio and correspondent Bank credit positions. Assist in the management of and support for the Bank's Historic Tax Credit, LIHTC, Solar Tax Credit, and SBIC investments. Work with Capital Markets LOB Risk Manager, SVP - Financial Analyst, and Financial Analyst to respond to any ALCO, liquidity, and derivative related information requests from auditors and examiners. Assist in the production and reporting on top deposit concentrations, high-rate deposits, and deposit portfolio in general. Generally assist the Capital Markets LOB Risk Manager and the Financial Analyst where necessary on any Capital Markets-related matters. Support the Capital Markets LOB Risk Manager on all items related to policy updates and adherence as well as similar support for Model Risk Management activity. Gain familiarity and establish expertise using a Bloomberg terminal and S&P Global database.
Education and Experience Requirements:
Bachelor's Degree in Economics or Finance 1-2 years of experience in Finance or related field
Essential Skills and Abilities:
Highly professional interpersonal and communication skills Working knowledge of the Capital Markets Ability to work effectively in a fast paced, dynamic environment Organized with strong attention to detail, critical-thinking, and analytical skills Proficient in MS Office Apply Now Active Filters Capital Markets Associate Pittsburgh, PA Clear All Powered By Cookie Policy We use cookies to improve your experience on our site. To find out more, read our privacy policy Accept Cookies Decline Cookies