Commercial Portfolio Manager II - Financial Institutions
$82,100–$172,500 year
On-siteChicago, Illinois, United States or Charlotte, North Carolina, United States
Job Summary
Conduct credit risk management for moderate to complex portfolio credits by performing analysis to underwrite and monitor loans, reviewing documentation, and completing approval requests. Monitor financial performance and compliance with loan covenants, taking appropriate action on non-compliant or past-due accounts while communicating with customers as needed. Partner with Relationship Managers and peers to assist in credit underwriting, industry research, and loan proposal coordination, including accompanying managers on customer calls. Maintain client records, collateral information, and industry-wide credit work archives, and mentor junior portfolio managers. Responsible for risk identification, assessment, and reporting within designated authorities.
Required Qualifications
- Bachelor's degree
- Preference for majors in accounting, finance or economics
- 3-5 years of credit analysis and/or loan review experience
- Proficiency in basic software applications such as Microsoft Word and Excel
- Strong organizational skills
- Teamwork exhibition
- Ability to work in a deadline driven environment
- Ability to multi-task
- Comfortable in a limited client facing environment
- Travel may be required
Desired Qualifications
- Familiarity with the Bank's internal applications
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