Market Investor Commercial Real Estate Portfolio Manager (LA and TX)
On-site · Houston, Texas, United States or Dallas, Texas, United States
Job Summary
Portfolio Manager for Market Investor CRE focused on underwriting and monitoring large commercial real estate loans. Responsible for analytical credit analyses of non-owner occupied CRE loans, understanding lending facilities and CRE product types (retail, office, multi-family, lodging, industrial, ALF/senior living), and monitoring portfolio health through covenant checks, rent rolls, operating statements, and market data. Duties include preparing Loss Given Default and Probability of Default models, compiling Credit Approval Packages, participating in Deal Team meetings with Relationship Manager, Market Approvers, and Credit Approvers, and ensuring accurate reflection of financials and term sheets in nCinco/nCino. Additional responsibilities involve client meetings with Relationship Manager, adherence to SLAs, and ongoing portfolio reviews. Required skills include financial analysis, credit memo preparation, familiarity with appraisal processes, and proficiency with MS Excel, MS Word, and financial spreading software.
Required Qualifications
- Bachelor's degree (B. A.) from four-year college or university
- 2-3 years related experience and/or training preferred
- Prior experience underwriting Commercial Real Estate loans is preferred
Apply with one swipe on Sorce. We auto-fill applications and apply on your behalf — no cover letters, no 40-minute forms.
Hiring someone like this?
Get your role in front of qualified candidates on Sorce.