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Portfolio Risk Manager Jobs in Florida (NOW HIRING)

Manage the institutional insurance portfolio, including but not limited to property, liability ... Advise departments on risk implications related to proposed new programs, initiatives, partnerships ...

Manage the institutional insurance portfolio, including but not limited to property, liability ... Advise departments on risk implications related to proposed new programs, initiatives, partnerships ...

Risk Manager

Saint Petersburg, FL ยท On-site

$70K/yr

Manage the institutional insurance portfolio, including but not limited to property, liability ... Advise departments on risk implications related to proposed new programs, initiatives, partnerships ...

Credit Risk Manager Multiple Locations: AL; CA; IL; FL; NJ; NY; NC; PA; TX; VA Pay Range $83,100.00 ... Maintains oversight via internal reporting and dashboards of all ongoing portfolio monitoring ...

Third Party Risk Manager, AVP

Tampa, FL ยท Hybrid

$91K - $107K/yr

Support preparation of TPRM portfolio and third-party performance for Risk and Management Committees, as required. * Provides input into the TPRM Policy and System enhancements. * Responsible for ...

Third Party Risk Manager, AVP

Tampa, FL ยท Hybrid

$91K - $107K/yr

Support preparation of TPRM portfolio and third-party performance for Risk and Management Committees, as required. * Provides input into the TPRM Policy and System enhancements. * Responsible for ...

Risk Manager / Senior Risk Analyst

Tampa, FL ยท On-site

$120K - $150K/yr

Our diverse portfolio spans industries including wine & spirits distribution, automotive services ... Manage risk in dealer/group reinsurance relationships by producing timely cession statements ...

Risk Manager / Senior Risk Analyst

Tallahassee, FL ยท On-site +1

$120K - $150K/yr

Our diverse portfolio spans industries including wine & spirits distribution, automotive services ... Manage risk in dealer/group reinsurance relationships by producing timely cession statements ...

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Showing results 1-20

Portfolio Risk Manager information

See Florida salary details

$27.6K

$75.1K

$140.1K

How much do portfolio risk manager jobs pay per year?

As of Jul 7, 2026, the average yearly pay for portfolio risk manager in Florida is $75,072.00, according to ZipRecruiter salary data. Most workers in this role earn between $48,900.00 and $97,100.00 per year, depending on experience, location, and employer.

What is the highest paying risk management job?

Senior risk management roles such as Chief Risk Officer (CRO) or Director of Risk typically offer the highest salaries in risk management, often exceeding six figures annually. These positions require extensive experience, advanced certifications like FRM or PRM, and strong leadership skills, especially in financial services and large corporations.

How does a Portfolio Risk Manager typically collaborate with investment teams to manage risk?

Portfolio Risk Managers work closely with portfolio managers, analysts, and traders to identify, assess, and mitigate potential risks within investment portfolios. They regularly participate in strategy meetings, provide risk analysis on proposed trades, and ensure portfolios remain aligned with the firm's risk appetite and regulatory requirements. Effective communication and data-driven insights are key, as Portfolio Risk Managers must translate complex risk metrics into actionable recommendations for the investment team. This collaborative approach helps ensure that investment decisions balance potential returns with an appropriate level of risk.

What is the highest salary for a risk manager?

The highest salaries for portfolio risk managers can exceed $150,000 to $200,000 annually, especially for those with extensive experience, advanced certifications like FRM or CFA, and working in major financial centers. Senior risk managers or those in leadership roles may earn even higher compensation, including bonuses and incentives.

How much does a risk manager get paid?

A portfolio risk manager's average salary in the United States ranges from $80,000 to $150,000 annually, depending on experience, location, and industry. Senior risk managers or those with specialized certifications like FRM or CFA can earn higher compensation, often exceeding $200,000 with bonuses and benefits included.

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

To thrive as a Portfolio Risk Manager, you need strong quantitative analysis, financial modeling abilities, and a solid understanding of risk management principles, often supported by a degree in finance, economics, or a related field. Familiarity with risk analytics tools such as Bloomberg, MATLAB, or SAS, and certifications like FRM or CFA are typically required. Strong communication, critical thinking, and problem-solving skills help in presenting complex risk findings to stakeholders and making sound decisions under pressure. These competencies are crucial for identifying, assessing, and mitigating risks to optimize portfolio performance and protect organizational assets.

What does a portfolio risk manager do?

A portfolio risk manager analyzes and monitors the risks associated with investment portfolios to ensure they align with the organization's risk appetite and objectives. They use tools like risk assessment models and financial data analysis to identify potential threats and implement strategies to mitigate losses, often working closely with investment teams and utilizing certifications such as FRM or CFA. Their role involves continuous evaluation of market conditions and portfolio performance to maintain optimal risk levels.
What cities in Florida are hiring for Portfolio Risk Manager jobs? Cities in Florida with the most Portfolio Risk Manager job openings:
Infographic showing various Portfolio Risk Manager job openings in Florida as of July 2026, with employment types broken down into 100% Full Time. Highlights an 100% In-person job distribution, with an average salary of $75,072 per year, or $36.1 per hour.
Wholesale Portfolio Risk Officer III

Wholesale Portfolio Risk Officer III

City National Bank of Florida

Miami, FL โ€ข On-site

Full-time

Posted 4 days ago


Job description

Overview
The Wholesale Portfolio Risk Officer, ensures the overall quality of the portfolio is maintained. Handles the client's financial needs, ensuring that the overall client experience is favorable and that the bank is in a position to expand the relationship. Takes the lead where debt product opportunities are identified and is accountable for all aspects of due diligence, underwriting, structuring and preparing the credit package for review and approval. Interfaces directly with the client and participates in building the client relationship. Additionally, to maintaining and updating as necessary credit policy and underwriting guidelines for debt products for this line of business.
Principal Duties & Responsibilities:
  • Primary duties and responsibilities include Commercial and Industrial Underwriting and Commercial Real estate renewals and opening of new loans to render a lending decision, portfolio loans while maintaining quality control of new loans which is essential to the sound business operations of the bank.
  • Given the lack of automated systems and lack of automated preliminary decisions by scheduled systems for portfolio loans, you will be responsible to make sound decisions within own lending authority and makes recommendations for loans requiring exception approval authority, based on your own independent analysis and interpretations of cash flows, and banking lending risk guidelines (100% manual non-automated portfolio- Commercial, Industrial Underwriting; Consumer Underwriting and Commercial Real Estate underwriting).
  • Responsible for the ongoing management of the Wholesale Risk portfolios including underwriting.
  • Manages relationships via a master portfolio report for tracking all renewals, annual reviews, servicing events, covenant checks and borrowing base reports by relationship.
  • Makes independent decisions on the creditworthiness of commercial clients of the Bank which includes: determining financial trends based on financial analysis; determining appropriate credit grading; determining, negotiating and finalizing appropriate credit structures; and providing independent recommendation of final credit decisions as per the Bank's credit policies and guidelines.
  • Work closely with lines of business to obtain supporting information and data to develop a consistent view of portfolio trends.
  • Drives analysis of wide-ranging business risks that have financial impact and provide insight into trends in portfolio performance and profitability.
  • Monitors portfolio activity for the following:
  • 180 day Maturing Report
  • Upcoming and Past Due Servicing tickler reports
  • Upcoming and Past Due Financial Statement tickler reports
  • Interface with Collateral Control Department for monthly borrowing base reports and field exams as required per loan approvals
  • ACH Expiration Report
  • Remote Deposit Capture Report
  • Monthly Reconciliation of the loan policy exception waivers
  • Coordinates the requisition of upcoming financial statement requirements from clients in conjunction with Wholesale Banking Relationship managers.
  • Provides appropriate lead time to ensure compliance and to coordinate renewal or servicing timeframes are met.
  • Manages high volumes of documents (financial statements) for upcoming portfolio events until documents have been reviewed, ticklers updated and uploaded in Web Director.
  • Attends joint appointments.
  • Required to visit Clients at place of business.

Qualifications
  • 5-10 years of small business banking credit risk and some small business lending experience.
  • Completion of formal credit training.
  • Strong communication and analytical/technical skills are required, including financial accounting and loan structuring.
  • Demonstrated business calling and negotiation experience are necessary.
  • Exposure to multiple business lines is required with experience at handling more complex transactions.
  • Good interpersonal skills are required to deal with banking professionals with various skill sets, risk management staff, clients and auditors.

Education
  • Bachelor's Degree in business or any related major.

Special Instructions to Candidates
Equal Opportunity
City National Bank of Florida is an Equal Opportunity Employer. We do not discriminate based on race, color, religion, sex, national origin, age, disability, genetic information, protected veteran status, or any status protected by federal, state, or Florida law. We comply with the ADA and applicable Florida laws.
Interview Guidelines
To ensure a fair interview process, the use of AI-enabled devices (e.g., AI glasses or similar technology) is not permitted during interviews.
Accommodations
If you require a reasonable accommodation to apply or participate in the hiring process, please contact our Talent Attraction team at talent.attraction@citynational.com