Ensure documentation and analysis meet regulatory, audit, and internal risk management standards ... Minimum of 4 years of experience in a portfolio risk, credit risk, or analytical role.
Ensure documentation and analysis meet regulatory, audit, and internal risk management standards ... Minimum of 4 years of experience in a portfolio risk, credit risk, or analytical role.
The Risk Analyst, Portfolio Management, will support portfolio management strategy and key initiatives across the consumer credit risk lifecycle. This role is responsible for evaluating portfolio ...
The Risk Analyst, Portfolio Management, will support portfolio management strategy and key initiatives across the consumer credit risk lifecycle. This role is responsible for evaluating portfolio ...
The Risk Analyst, Portfolio Management, will support portfolio management strategy and key initiatives across the consumer credit risk lifecycle. This role is responsible for evaluating portfolio ...
The Risk Analyst, Portfolio Management, will support portfolio management strategy and key initiatives across the consumer credit risk lifecycle. This role is responsible for evaluating portfolio ...
SUMMARY: Serve as portfolio management officer for an assigned commercial banking portfolio, providing ongoing post-origination credit surveillance, risk identification, and portfolio reporting ...
SUMMARY: Serve as portfolio management officer for an assigned commercial banking portfolio, providing ongoing post-origination credit surveillance, risk identification, and portfolio reporting ...
SUMMARY: Serve as portfolio management officer for an assigned commercial banking portfolio, providing ongoing post-origination credit surveillance, risk identification, and portfolio reporting ...
SUMMARY: Serve as portfolio management officer for an assigned commercial banking portfolio, providing ongoing post-origination credit surveillance, risk identification, and portfolio reporting ...
Risk Management Actuary
Alpharetta, GA ยท On-site
$150K - $200K/yr
Monitoring portfolio performance, renewal rate changes and key risk metrics to balance growth ... Ability to prioritize and manage multiple tasks while resolving conflicts constructively.
Quick apply
Risk Management Actuary
Alpharetta, GA ยท On-site
$150K - $200K/yr
Monitoring portfolio performance, renewal rate changes and key risk metrics to balance growth ... Ability to prioritize and manage multiple tasks while resolving conflicts constructively.
Risk Manager
Atlanta, GA ยท Hybrid
$150K - $165K/yr
Monitor and ensure portfolios conform to established and approved risk policy. Partner with ... A passion for risk management and a proven interest in financial markets through work experience ...
Risk Manager
Atlanta, GA ยท Hybrid
$150K - $165K/yr
Monitor and ensure portfolios conform to established and approved risk policy. Partner with ... A passion for risk management and a proven interest in financial markets through work experience ...
SMA Portfolio Manager/Trader
Alpharetta, GA ยท On-site
Portfolio Management: Manage SMA portfolios, leveraging various tools, such as optimizers, risk models, and dashboards. Ensure portfolios are aligned with clients' investment objectives and risk ...
SMA Portfolio Manager/Trader
Alpharetta, GA ยท On-site
Portfolio Management: Manage SMA portfolios, leveraging various tools, such as optimizers, risk models, and dashboards. Ensure portfolios are aligned with clients' investment objectives and risk ...
Portfolio Analyst/Trader
Alpharetta, GA ยท On-site
The successful candidate will possess a solid understanding of investment management, portfolio construction, and equity risk management. They will demonstrate an unwavering commitment to delivering ...
Portfolio Analyst/Trader
Alpharetta, GA ยท On-site
The successful candidate will possess a solid understanding of investment management, portfolio construction, and equity risk management. They will demonstrate an unwavering commitment to delivering ...
Communicate the organization's risk management strategy and insurance portfolio through reports and presentations to senior leadership and across the company as needed, ensuring transparency and ...
Communicate the organization's risk management strategy and insurance portfolio through reports and presentations to senior leadership and across the company as needed, ensuring transparency and ...
Communicate the organization's risk management strategy and insurance portfolio through reports and presentations to senior leadership and across the company as needed, ensuring transparency and ...
Communicate the organization's risk management strategy and insurance portfolio through reports and presentations to senior leadership and across the company as needed, ensuring transparency and ...
VP, Senior Underwriter & Portfolio Manager- Aviation Finance (Hybrid)
Atlanta, GA ยท Hybrid
$145K - $185K/yr
The VP will lead analysis, reporting, and asset management activities to maximize value and minimize risk, while communicating portfolio insights to key stakeholders through reports, dashboards, and ...
VP, Senior Underwriter & Portfolio Manager- Aviation Finance (Hybrid)
Atlanta, GA ยท Hybrid
$145K - $185K/yr
The VP will lead analysis, reporting, and asset management activities to maximize value and minimize risk, while communicating portfolio insights to key stakeholders through reports, dashboards, and ...
Develop and present periodic credit risk updates, portfolio performance reviews, and strategic ... Build and manage relationships with senior and executive stakeholders, both internally and ...
Develop and present periodic credit risk updates, portfolio performance reviews, and strategic ... Build and manage relationships with senior and executive stakeholders, both internally and ...
VP, Senior Underwriter & Portfolio Manager- Aviation Finance (Hybrid)
Atlanta, GA ยท Hybrid
$145K - $185K/yr
The VP will lead analysis, reporting, and asset management activities to maximize value and minimize risk, while communicating portfolio insights to key stakeholders through reports, dashboards, and ...
VP, Senior Underwriter & Portfolio Manager- Aviation Finance (Hybrid)
Atlanta, GA ยท Hybrid
$145K - $185K/yr
The VP will lead analysis, reporting, and asset management activities to maximize value and minimize risk, while communicating portfolio insights to key stakeholders through reports, dashboards, and ...
Develop and present periodic credit risk updates, portfolio performance reviews, and strategic ... Build and manage relationships with senior and executive stakeholders, both internally and ...
Develop and present periodic credit risk updates, portfolio performance reviews, and strategic ... Build and manage relationships with senior and executive stakeholders, both internally and ...
Credit Officer & Head of Risk
Atlanta, GA ยท On-site
Prepare risk management presentations for senior management and the Board of Directors that include analytics on expected portfolio performance and areas of potential risk and/or opportunity. * Acts ...
Credit Officer & Head of Risk
Atlanta, GA ยท On-site
Prepare risk management presentations for senior management and the Board of Directors that include analytics on expected portfolio performance and areas of potential risk and/or opportunity. * Acts ...
Prepare risk management presentations for senior management and the Board of Directors that include analytics on expected portfolio performance and areas of potential risk and/or opportunity. * Acts ...
Prepare risk management presentations for senior management and the Board of Directors that include analytics on expected portfolio performance and areas of potential risk and/or opportunity. * Acts ...
Credit Officer & Head of Risk
Atlanta, GA ยท On-site
Prepare risk management presentations for senior management and the Board of Directors that include analytics on expected portfolio performance and areas of potential risk and/or opportunity. * Acts ...
Credit Officer & Head of Risk
Atlanta, GA ยท On-site
Prepare risk management presentations for senior management and the Board of Directors that include analytics on expected portfolio performance and areas of potential risk and/or opportunity. * Acts ...
CRE Portfolio Manager Team Lead
Atlanta, GA ยท On-site
Strong understanding of portfolio risk management, covenant monitoring, loan review processes, and ... regulatory expectations * Excellent communication, coaching, organizational, and leadership skills
CRE Portfolio Manager Team Lead
Atlanta, GA ยท On-site
Strong understanding of portfolio risk management, covenant monitoring, loan review processes, and ... regulatory expectations * Excellent communication, coaching, organizational, and leadership skills
Credit Risk Lead
Atlanta, GA ยท On-site
Portfolio performance monitoring and management * Monitor portfolio performance, identifying trends in credit quality, losses, and early risk indicators. * Prepare and present risk reporting and ...
Credit Risk Lead
Atlanta, GA ยท On-site
Portfolio performance monitoring and management * Monitor portfolio performance, identifying trends in credit quality, losses, and early risk indicators. * Prepare and present risk reporting and ...
Portfolio Risk Management information
What is the highest paying risk management job?
What does a portfolio risk manager do?
What are the key skills and qualifications needed to thrive in the Portfolio Risk Management position, and why are they important?
To thrive in Portfolio Risk Management, you need strong analytical skills, a solid understanding of financial markets, quantitative modeling, and typically a degree in finance, economics, mathematics, or a related field. Experience with risk management software, data analytics platforms like Excel, SAS, or Python, and certifications such as FRM or CFA are highly valued. Exceptional attention to detail, effective communication, and the ability to collaborate across departments set top candidates apart. These skills are critical for accurately assessing risk, informing investment strategies, and ensuring the long-term stability of portfolios.
Is risk management a good career?
Is portfolio management a good career?
What are the main challenges faced in a Portfolio Risk Management role?
One of the main challenges in Portfolio Risk Management is staying ahead of rapidly changing market conditions and identifying potential risks before they impact investment portfolios. Professionals in this role must regularly analyze large volumes of data, assess new financial instruments, and respond quickly to economic or geopolitical events. Collaboration with portfolio managers, traders, and compliance teams is essential to ensure that risk controls align with organizational goals. The dynamic nature of financial markets keeps the role intellectually stimulating and offers ongoing opportunities for professional growth and skill development.
What is a Portfolio Risk Management job?
A Portfolio Risk Management job involves identifying, assessing, and mitigating risks associated with investment portfolios. Professionals in this role analyze market trends, credit exposure, liquidity risks, and other factors that could impact portfolio performance. They use quantitative models, stress testing, and risk metrics to ensure the portfolio aligns with the organization's risk appetite. The goal is to maximize returns while minimizing potential losses. This role is commonly found in asset management firms, hedge funds, banks, and financial institutions.

Full-time
Medical, Life, Retirement, PTO
Posted 3 days ago
Job description
Summary
The Consumer Finance Direct Lending Portfolio & Risk Specialist plays a key role in overseeing the credit risk performance of the Direct Lending portfolio, including unsecured and/or secured consumer lending products. This position is responsible for ongoing portfolio monitoring, risk identification, performance analysis, and supporting sound credit practices through data-driven insights, policy development, and cross-functional collaboration. The Specialist partners closely with Risk, Credit, Product, Operations, and Technology teams to ensure portfolio strategies align with regulatory expectations, company risk appetite, and business objectives.
Key Responsibilities
- Monitor and analyze direct lending portfolio performance to identify emerging credit quality trends, deterioration risks, and opportunities for improvement.
- Conduct ongoing portfolio risk assessments, including delinquency, loss, vintage, and concentration analysis.
- Prepare and deliver clear, concise portfolio reporting, dashboards, and executive summaries highlighting key performance indicators and risk metrics.
- Identify economic, operational, and credit risk impacts to the portfolio and recommend mitigation strategies.
- Support the development, review, and maintenance of credit policies, procedures, and risk governance documentation.
- Participate in and support User Acceptance Testing (UAT) for system changes, credit strategy enhancements, and new product initiatives to ensure alignment with credit policy and risk controls.
- Collaborate with crossโfunctional partners (Credit, Compliance, IT, Operations, Product, and Analytics) to implement portfolio strategies and process improvements.
- Ensure documentation and analysis meet regulatory, audit, and internal risk management standards.
- Assist with special projects, regulatory exams, internal audits, and ad hoc risk initiatives as assigned.
Required Qualifications
- 5โ10 years of experience in consumer lending, portfolio management, credit risk, underwriting, or a related discipline.
- Strong knowledge of direct lending products and consumer credit risk principles.
- Minimum of 4 years of experience in a portfolio risk, credit risk, or analytical role.
- Demonstrated ability to analyze complex data and translate findings into actionable insights.
- Strong written and verbal communication skills, with the ability to present risk concepts clearly to diverse audiences.
- Highly detailโoriented with strong organizational and documentation skills.
- Proven ability to write and maintain credit policies and procedures.
- Experience working in or supporting a UAT testing environment.
- High school diploma or equivalent required (Bachelorโs degree preferred).
Preferred Qualifications
- ACAPS (or similar risk/credit certification) experience preferred.
- Experience supporting regulatory exams and internal audits.
- Familiarity with consumer credit models, scorecards, or risk-based pricing frameworks.
- Advanced proficiency in Excel and experience with portfolio reporting or analytics tools.
- Bachelorโs degree in Finance, Economics, Business, Risk Management, or a related field.
Exempt Status: (Yesย = not eligible for overtime pay) (Noย = eligible for overtime pay)
Workplace Type:
OfficeOur Approach to Office Workplace Type
Certain positions outside our branch network may be eligible for a flexible work arrangement. Weโre combining the best of both worlds: ย in-office and work from home. Our approach enables our teams to deepen connections, maintain a strong community, and do their best work. Remote roles will also have the opportunity to come together in our offices for moments that matter. Specific work arrangements will be provided by the hiring team.
Huntington will not sponsor applicants for this position for immigration benefits, including but not limited to assisting with obtaining work permission for F-1 students, H-1B professionals, O-1 workers, TN workers, E-3 workers, among other immigration statuses. Applicants must be currently authorized to work in the United States on a full-time basis.
Compensation Range:
57,000.00 - 113,000.00 USD Annual SalaryThe compensation range represents the anticipated low and high end of the base compensation range for this position. Actual compensation will vary based on various factors including but not limited to location, experience, and education. โฏColleagues in this position are also eligible to participate in an applicable incentive compensation plan. โฏIn addition, Huntington provides a variety of benefits to colleagues, including health insurance coverage, wellness program, life and disability insurance, retirement savings plan, paid leave programs, paid holidays and paid time off (PTO).ย
Huntington is an Equal Opportunity Employer.
Tobacco-Free Hiring Practice: Visit Huntington's Career Web Site for more details.
Note to Agency Recruiters: ย Huntington will not pay a fee for any placement resulting from the receipt of an unsolicited resume. ย All unsolicited resumes sent to any Huntington colleagues, directly or indirectly, will be considered Huntington property. Recruiting agencies must have a valid, written and fully executed Master Service Agreement and Statement of Work for consideration.