1

Avp Portfolio Manager Jobs (NOW HIRING)

This AVP Portfolio Manager II is responsible for evaluating individual credits for compliance with underwriting guidelines and accuracy of risk rating. Analyzes bank's loan portfolio for ...

AVP, Portfolio Manager

Oakdale, MN · On-site

$90K - $118K/yr

The AVP, Portfolio Manager will provide support to the Commercial Lending team to ensure a high level of commercial portfolio quality. This includes monitoring the portfolio, reports, interim ...

AVP, Portfolio Manager

Oakdale, MN · On-site

$90K - $118K/yr

The AVP, Portfolio Manager will provide support to the Commercial Lending team to ensure a high level of commercial portfolio quality. This includes monitoring the portfolio, reports, interim ...

This position is intended for a developing portfolio manager with a strong foundation in fixed income markets and a growing understanding of insurance investment frameworks. The role combines handson ...

AVP, Portfolio Manager

El Monte, CA · On-site

$70K - $95K/yr

GENERAL SUMMARY Portfolio Manager ("PM") is responsible for maintaining and monitoring existing commercial loan portfolio and work closely with the SRM who owns the relationship of these accounts. PM ...

AVP, Portfolio Manager

El Monte, CA · On-site

$70K - $95K/yr

GENERAL SUMMARY Portfolio Manager ("PM") is responsible for maintaining and monitoring existing commercial loan portfolio and work closely with the SRM who owns the relationship of these accounts. PM ...

AVP, Portfolio Manager

El Monte, CA · On-site

$70K - $95K/yr

PM is to work closely with SRM(s) and Team Managers on the assigned loan portfolio by monitoring and managing the credit quality of such portfolio. * Review to ensure each credit is properly risk ...

next page

Showing results 1-20

Avp Portfolio Manager information

See salary details

$37K

$100.5K

$187.5K

How much do avp portfolio manager jobs pay per year?

As of Jun 9, 2026, the average yearly pay for avp portfolio manager in the United States is $100,458.00, according to ZipRecruiter salary data. Most workers in this role earn between $65,500.00 and $130,000.00 per year, depending on experience, location, and employer.

What are the key skills and qualifications needed to thrive as an AVP Portfolio Manager, and why are they important?

To thrive as an AVP Portfolio Manager, you need strong analytical skills, financial acumen, and experience in portfolio management, often supported by a degree in finance or a related field. Familiarity with financial modeling tools, risk assessment software, and industry certifications such as CFA or FRM is highly valued. Excellent communication, leadership, and decision-making skills help you build relationships with clients and lead teams effectively. These skills are crucial for optimizing portfolio performance, managing risk, and meeting organizational investment objectives.

How does an AVP Portfolio Manager typically collaborate with other departments to achieve portfolio objectives?

An AVP Portfolio Manager works closely with teams such as credit risk, underwriting, sales, and compliance to ensure portfolio strategies align with organizational goals. Regular cross-functional meetings and reporting are common, where the AVP Portfolio Manager communicates portfolio performance, risk assessments, and market trends. This collaboration helps identify new opportunities, mitigate risks, and maintain portfolio quality. Open communication and teamwork are essential, as the role often involves balancing diverse perspectives to drive optimal results.

What is the difference between Avp Portfolio Manager vs Credit Analyst?

AspectAvp Portfolio ManagerCredit Analyst
CredentialsBachelor's degree, often CFA or similar certificationsBachelor's degree, sometimes CFA or credit-specific certifications
Work EnvironmentFinancial institutions, investment firms, managing portfoliosBanks, credit agencies, analyzing creditworthiness
Employer & IndustryAsset management, banking, investment industryBanking, credit risk assessment, financial services
Primary FocusManaging investment portfolios, client relationsAssessing credit risk, financial analysis

The Avp Portfolio Manager and Credit Analyst roles share a background in finance and often require similar credentials. However, the Avp Portfolio Manager focuses on managing investment portfolios and client relationships, while the Credit Analyst specializes in evaluating credit risk and financial data. Both roles are vital in financial institutions but serve different functions within the industry.

What does an AVP Portfolio Manager do?

An AVP Portfolio Manager, or Assistant Vice President Portfolio Manager, is responsible for overseeing and managing investment portfolios, often within banks or financial institutions. They analyze market trends, assess risk, and recommend investment strategies to maximize returns for clients or the organization. Additionally, they may help develop client relationships, monitor portfolio performance, and ensure compliance with relevant regulations. The role typically involves working closely with senior managers and analysts to achieve financial goals.
More about Avp Portfolio Manager jobs
What cities are hiring for Avp Portfolio Manager jobs? Cities with the most Avp Portfolio Manager job openings:
What states have the most Avp Portfolio Manager jobs? States with the most job openings for Avp Portfolio Manager jobs include:
AVP Portfolio Manager II

Full-time

Medical, Dental, Vision, Retirement, PTO

Posted 17 days ago


Job description

Thanks for your interest in applying to the Bank of Utah. My name is Jared Sellers, and I work as SVP Team Lead Commercial Lending. As an introduction to our company, the Bank of Utah was founded in 1952, and is one of Utah’s largest privately owned community banks. We were named Nasdaq’s Best Bank in Utah for 2025 and a Top 100 Fastest Growing Company.
Our Mission Statement:
We strive to unlock the potential of our team members, clients, and community. We act with integrity in every decision, build trust through every interaction, and exceed expectations at every opportunity. We seek to responsibly create lasting prosperity today and for generations to come.
Job Opening Details:
If our mission statement piques your interest, we encourage you to apply for the currently open position of AVP Portfolio Manager II to work Monday - Friday at our Branch located at 1000 West 800 North Orem, UT. This AVP Portfolio Manager II is responsible for evaluating individual credits for compliance with underwriting guidelines and accuracy of risk rating. Analyzes bank’s loan portfolio for deterioration in quality. Researches local and national economic trends and interprets the potential impact on the loan portfolio. Analyzes and spreads customer financial statements. Evaluates risks in the loan portfolio and prepares management reports on the status of the loan portfolio.
Job Qualifications:
  • BS Degree (Masters preferred) in Accounting or Finance or equivalent work experience
  • Great computer skills in a Windows environment with proficiency in Word and Excel.
  • Great analytical, oral and written communication skills combined with the ability to present information in a clear and concise manner.
  • Must have a minimum of 5 years of experience in underwriting and 3 years of experience in portfolio monitoring and interfacing with customers.
  • Ability to work in a team setting.
  • Great speed and accuracy in meeting the customer and team needs.

Benefits of Working with Us:
Bank of Utah's comprehensive benefits package includes:
  • Great work-life balance, with a Monday-Friday schedule
  • Competitive pay and benefits, including medical, dental and vision plans
  • 401(k) plan and match up to 5 percent in our employee stock ownership program (eligibility requirements must be met)
  • 12 paid bank holidays + paid time off, including paid parental leave
  • Volunteer opportunities to make a difference in the communities where you work and live
  • Awards and recognition to celebrate you and your colleagues for living the bank's values

Job Description:
  • Review Bank Loans. Critiques and evaluates loans for deterioration in credit quality. Scrutinizes individual loan files for compliance with Bank policy, federal regulations, completeness and accuracy of loan documents, financial strength of borrower, strength of collateral position and accuracy in risk grading. Identifies weakness in credits for potential problems and/or losses and recommends corrective actions. Research economic information and monitors economic trends in the major industries affecting our loan portfolio and determines if additional risks to the bank have occurred.
  • Analyze Borrower's financial position. Spreads and analyzes borrower's financial statements and prepares written summaries of findings for use by Loan Officers on applications for new loans and annual renewals. Analyzes and compares borrower financial performance to peer groups using national statistics. Conducts full loan analysis, including industry and local economic trends and risks, of selected borrowers. Preparation of Prescreen on existing and prospective Borrowers.
  • Portfolio Risk Analysis. Researches and analyzes information relative to the bank’s risk in identified areas of loan and industry concentrations. Prepares management reports of specific economic or market trends affecting the bank’s loan portfolio. Conduct annual evaluations of large credits. Performs an examination and evaluation of individual loan officer and/or branch loan portfolios.
  • Prepares various management reports as assigned by department management.
  • Attendance is an essential function of the job.
  • Other duties as assigned.