Portfolio Manager

London, OH, US, United States

Job Description

About the Role:




As a Portfolio Manager within the banking and nonbank credit intermediation sector, you will be responsible for overseeing and optimizing a diverse portfolio of commercial real estate and loan assets to maximize returns while mitigating risk. You will lead strategic decision-making processes involving asset acquisition, disposition, and management, ensuring alignment with the institution's financial goals and regulatory requirements. This role demands a comprehensive understanding of market trends, financial analytics, and risk management techniques to maintain portfolio health and capitalize on emerging opportunities. You will collaborate closely with brokerage teams, credit analysts, and senior management to conduct thorough due diligence and maintain robust asset performance. Ultimately, your expertise will drive sustainable growth and stability across the portfolio, supporting the institution's long-term financial success.

Minimum Qualifications:



Preferred Bachelor's degree in Finance, Economics, Business Administration, or a related field. Experience in portfolio management, commercial real estate, or loan portfolio management within the banking or financial services industry. Proven expertise in financial analysis, risk management, and due diligence processes. Strong knowledge of commercial real estate markets and asset management principles. Excellent communication and negotiation skills.

Preferred Qualifications:



Professional certifications such as CFA, CAIA, or CCIM. Experience working in both London and Marysville financial markets. Familiarity with advanced portfolio management software and financial modeling tools. Demonstrated ability to lead cross-functional teams and manage complex transactions.

Responsibilities:



Manage and monitor a diversified portfolio of commercial real estate and loan assets, ensuring optimal performance and compliance with internal policies and external regulations. Conduct detailed financial analysis and due diligence on potential acquisitions, dispositions, and refinancing opportunities to inform investment decisions. Develop and implement risk management strategies to identify, assess, and mitigate portfolio risks, including credit, market, and operational risks. Collaborate with brokerage and asset management teams to negotiate transactions, manage tenant relationships, and oversee property performance. * Prepare comprehensive reports and presentations for senior leadership, highlighting portfolio performance, risk exposures, and strategic recommendations.

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Job Detail

  • Job Id
    JD6140979
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    London, OH, US, United States
  • Education
    Not mentioned