VP Corporate Banking Portfolio Manager & Credit Risk Monitoring Madison-DavisVP Corporate Banking Portfolio Manager & Credit Risk MonitoringNew York, NY$130,000–$155,000 / yearThe role combines rigorous quantitative and qualitative portfolio analytics with cross-functional collaboration interfacing closely with Relationship Managers, Credit Management, and senior leadership to proactively identify emerging risks, drive risk mitigation strategies, and ensure portfolio quality remains aligned with credit policy and the institution's strategic objectives. This Vice President-level Portfolio Manager opportunity sits within the Corporate Banking Division of a well-established global financial institution, offering full ownership of active portfolio management, credit risk monitoring, and early warning identification across a diversified corporate banking portfolio spanning multiple industries, geographies, and product types.
Loan Workout Portfolio Manager – Job # 3761 Symicor GroupLoan Workout Portfolio Manager – Job # 3761Staten Island, New York$135,000The position is responsible for overseeing portfolios that are distressed, delinquent, or high-risk commercial loans, developing strategies to maximize recovery and minimize losses. Report on the assigned portfolio, including asset quality, stress testing, industry and market analysis, asset allocation, reserves, and non-performing loan analysis.
VP Project Finance Portfolio Manager & Risk Controls Officer Madison-DavisVP Project Finance Portfolio Manager & Risk Controls OfficerNew York, NY$150,000–$175,000 / yearThe role covers a diversified project finance portfolio spanning digital infrastructure, LNG, and power sectors combining ongoing credit monitoring and portfolio optimization responsibilities with a meaningful RICO function focused on operational risk, compliance, and internal control execution. Validate and maintain ORM KRI metrics;conduct annual ORM KRI reviews, updates, and reporting;lead issue management activities including issue identification, action plan design, remediation tracking, and issue closure.
IT Portfolio Manager MetLife IncIT Portfolio ManagerNY$90,000–$120,000 / yearRecognized on Fortune magazine\''s list of the "World\''s Most Admired Companies", Fortune World's 25 Best Workplaces, as well as the Fortune 100 Best Companies to Work For, MetLife, through its subsidiaries and affiliates, is one of the world's leading financial services companies; providing insurance, annuities, employee benefits and asset management to individual and institutional customers. All employment decisions are made without regards to race, color, national origin, religion, creed, sex (including pregnancy, childbirth, or related medical conditions), sexual orientation, gender identity or expression, age, disability, marital or domestic/civil partnership status, genetic information, citizenship status (although applicants and employees must be legally authorized to work in the United States), uniformed service member or veteran status, or any other characteristic protected by applicable federal, state, or local law ("protected characteristics").
Director, Portfolio Manager Lender Finance (Private Credit) Madison-DavisDirector, Portfolio Manager Lender Finance (Private Credit)New York, NYThis is a Director-level Portfolio Manager opportunity within the Credit Portfolio Management function of a well-established global financial institution, offering full ownership of a large-scale middle market loan and private credit portfolio spanning LBO-backed direct lending transactions across Technology and Business Services verticals. The role sits within the front office commercially aligned with origination and distribution rather than a pure control function making it a genuine principal seat where the PM issues binding credit opinions, carries an NBI budget, and actively manages portfolio risk and distribution strategy.
Portfolio Manager Associate City National BankPortfolio Manager AssociateNew York, New YorkRemote$92,114–$156,880 / yearFull timeRespond to incoming calls, emails, and inquiries from clients and advisors - Portfolio characteristics, economic updates, and the firm’s investment thesis - Specific strategies and solutions: business description and reasons we own - Tie everything to client’s goals and aspirations - Create, research, and provide detailed ad-hoc analyses. RBC Rochdale provides investment research, portfolio management, macroeconomic outlook and strategic asset allocation to help clients meet their long-term goals.
Portfolio Manager Columbia UniversityPortfolio ManagerNew York, NY$120,000–$125,000 / yearReporting to the Asset Director, the Portfolio Manager of Residential Operations is expected to execute Columbia Residential's capital and non-capital financial strategies to achieve positive net operating income while improving asset value and resident satisfaction. Meet regularly with Asset Directors and fellow Portfolio Managers to address shared concerns, develop training initiatives, and deliver sessions for Residential Operations staff.
Project Manager - Portfolio Management PRI TechnologyProject Manager - Portfolio ManagementHolmdel, NJDemonstrated an understanding of business line initiatives, and highly specialized working knowledge of program or project management methodologies (e.g., SAFe, agile, waterfall, etc.) and be comfortable working in a complex matrix environment. The firm has established the Enterprise Portfolio Management & Governance Organization to drive measurable, consistent, predictable portfolio delivery to accelerate and optimize value-add solutions across all of the firms Lines of Business.
Portfolio Manager – Insurance, FIG PIMCOPortfolio Manager – Insurance, FIGNew York, New YorkThis position will focus on managing investment portfolios for FIG clients while leveraging quantitative techniques to optimize risk-adjusted returns, both accounting returns (e.g., book yield and net interest income optimization) and economic returns (e.g., total return alpha, security rich/cheap analysis, sector relative value, etc.). Our flexible capital base and deep relationships with issuers have helped us become one of the world’s largest providers of traditional and nontraditional solutions for companies that need financing and investors who seek strong risk-adjusted returns.
Portfolio Manager - Insurance, FIG PIMCOPortfolio Manager - Insurance, FIGNew York, NY$205,000–$305,000 / yearThis position will focus on managing investment portfolios for FIG clients while leveraging quantitative techniques to optimize risk-adjusted returns, both accounting returns (e.g., book yield and net interest income optimization) and economic returns (e.g., total return alpha, security rich/cheap analysis, sector relative value, etc.). Our flexible capital base and deep relationships with issuers have helped us become one of the world's largest providers of traditional and nontraditional solutions for companies that need financing and investors who seek strong risk-adjusted returns.
Asset & Wealth Management, Quantitative Equity Solutions, Client Portfolio Manager, Associate The Goldman Sachs Group IncAsset & Wealth Management, Quantitative Equity Solutions, Client Portfolio Manager, AssociateNew York, NY$100,000–$170,000 / yearOur team of client portfolio managers works closely with portfolios managers, salespeople, financial advisors and clients to understand client needs and find and help implement appropriate solutions, provide industry and strategy education and subject matter expertise, develop thought leadership and marketing materials, and develop and implement business strategy. We design and employ highly scalable portfolio management systems to create equity-based strategies including customized direct indexing separate accounts, derivative income ETFs, and exchanges funds.
VP/Director Portfolio Manager CRE First Citizens BankVP/Director Portfolio Manager CRENew York, New York$135,000–$175,000 / yearFull timeBachelor's Degree and 6 years of experience in Credit Analysis, Credit Underwriting or Management OR High School Diploma or GED and 10 years of experience in Credit Analysis, Credit Underwriting or Management. Bachelor's Degree and 8 years of experience in Credit Analysis, Credit Underwriting or Management OR High School Diploma or GED and 12 years of experience in Credit Analysis, Credit Underwriting or Management.
Portfolio Manager III - Middle Market, Leveraged Lending City National BankPortfolio Manager III - Middle Market, Leveraged LendingNew York, NYRemote$122,535–$208,715 / yearPortfolio Management: Owns and manages an assigned credit portfolio, ensuring alignment with organizational goals and risk management practices, including underwriting all types of credit exposures, managing credit risk, and responding to prospective client inquiries. Collaboration: Strong communication and collaboration skills, with the ability to work effectively with senior leadership and cross-functional teams to ensure cohesive and effective credit operations to achieve the Bank's strategic initiatives.
Portfolio Manager III - Entertainment & Sports Banking City National BankPortfolio Manager III - Entertainment & Sports BankingNew York, NYRemote$122,535–$208,715 / yearPortfolio Management: Owns and manages an assigned credit portfolio, ensuring alignment with organizational goals and risk management practices, including underwriting all types of credit exposures, managing credit risk, and responding to prospective client inquiries. Client Service: Provides exceptional client service by maintaining professionalism and effectively interacting with clients to understand their needs and provide tailored credit solutions.
Loan Workout Portfolio Manager - To 135K - Staten Island, NY - Job 3761 The Symicor GroupLoan Workout Portfolio Manager - To 135K - Staten Island, NY - Job 3761New York, NY$135,000The position is responsible for overseeing portfolios that are distressed, delinquent, or high-risk commercial loans, developing strategies to maximize recovery and minimize losses. Report on the assigned portfolio, including asset quality, stress testing, industry and market analysis, asset allocation, reserves, and non-performing loan analysis.
Portfolio Manager White & Case LLPPortfolio ManagerNew York, NY$164,000–$246,000 / yearServing as a trusted partner to Technology Directors, portfolio owners, business leaders, and peer Portfolio Managers, this role ensures that technology investments, programs, projects, operational initiatives align with the firm's strategic priorities. In addition to portfolio oversight, the Portfolio Manager may directly lead selected high-priority or complex initiatives and provide leadership, coaching, and direction to Program Managers and Project Managers.
Portfolio Manager Scout Group LLCPortfolio ManagerJersey City, NJThe platform encompasses latency-sensitive execution systems, real-time risk analytics, proprietary data pipelines, custom-built backtesting environments, and machine learning tools—all purpose-built to give portfolio managers a decisive information and execution edge. State-of-the-art technology — Latency-sensitive execution systems, proprietary data pipelines, custom-built backtesting environments, and machine learning platforms—all engineered to give you an edge.
Multi Asset Class Portfolio Manager Citigroup Inc.Multi Asset Class Portfolio ManagerNew York, NY$170,000–$300,000 / yearIncludes monitoring asset class exposures relative to target, rebalancing for the latest asset class targets, investing or selling for cash flows, monitoring portfolio implementation and active risk, and corresponding with the sales force on a variety of ad hoc topics. MACS works closely with Citi Wealth's Chief Investment Office (CIO) team and is responsible for the management of full discretion portfolios for thousands of Citi Wealth clients.
Corporate Banking Portfolio Manager Team Lead For Asset Based Finance US BankCorporate Banking Portfolio Manager Team Lead For Asset Based FinanceNew York, NY$181,730–$213,800 / yearThis leader is responsible for a large portfolio of very active clients, which includes routinely assessing complex loan requests, working closely with the team to ensure that our customers are appropriately risk rated and managed, and developing relationships with highly-valued clients in ABF as well as Relationship Managers, Risk Management and other key internal partners. Corporate Banking Portfolio Management Team Lead (PMTL) provides leadership and oversight to a high-performing team of Portfolio Managers and a Credit Analyst for the Asset Based Finance (ABF) team.
EY-Parthenon - AI Business Solutions - OneEdge - Portfolio Manager - Senior Director Ernst & Young Global LtdEY-Parthenon - AI Business Solutions - OneEdge - Portfolio Manager - Senior DirectorNew York, NY$250,000–$290,000 / yearIf you have a disability and either need assistance applying online or need to request an accommodation during any part of the application process, please call 1-800-EY-HELP3, select Option 2 for candidate related inquiries, then select Option 1 for candidate queries and finally select Option 2 for candidates with an inquiry which will route you to EY's Talent Shared Services Team (TSS) or email the TSS at ssc.customersupport@ey.com. The Portfolio Manager serves as a strategic partner across the portfolio, working closely with Product Management, Architecture, Engineering, Regional Leadership, Client Success, and Service Line teams to align priorities, navigate complexity, and ensure capabilities deliver measurable business value.