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Quant Portfolio Manager Jobs in Michigan (NOW HIRING)

... quantitative skills, including building models, baselines, and metrics in Excel or a BI tool, and explaining them in plain language. • Experience managing a portfolio, pipeline, or book of work ...

The ideal candidate will bring deep procurement experience, strong leadership capabilities, strong quantitative skills and a genuine desire to work closely with Partners Group's portfolio management ...

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Quant Portfolio Manager information

What is the difference between Quant Portfolio Manager vs Quant Analyst?

AspectQuant Portfolio ManagerQuant Analyst
Primary RoleOversees investment strategies, manages portfolios, makes high-level trading decisionsDevelops models, analyzes data, supports trading strategies
Required CredentialsAdvanced degrees (MSc/PhD), CFA often preferredDegree in finance, mathematics, or related fields; certifications like CFA beneficial
Work EnvironmentAsset management firms, hedge funds, investment banksQuantitative research teams, trading desks, financial institutions
FocusPortfolio performance, risk management, strategic decision-makingModel development, data analysis, algorithm creation

While both roles require strong quantitative skills and relevant credentials, the Quant Portfolio Manager focuses on managing investment portfolios and making strategic decisions, whereas the Quant Analyst primarily develops models and analyzes data to support trading strategies. The roles often collaborate but differ in scope and responsibilities.

How does a Quant Portfolio Manager typically collaborate with research and trading teams to implement investment strategies?

Quant Portfolio Managers work closely with both quantitative researchers and trading teams to develop and execute data-driven investment strategies. They often translate research models into actionable portfolios, ensuring that strategies are both theoretically sound and practical given market constraints. Regular communication helps align risk parameters, execution efficiency, and model updates, fostering a collaborative environment where feedback is used to refine and enhance performance. Successful Quant Portfolio Managers are adept at bridging the gap between theoretical research and real-world trading execution.

What is a Quant Portfolio Manager?

A Quant Portfolio Manager is a finance professional who uses quantitative methods, such as mathematical models, algorithms, and statistical analysis, to make investment decisions and manage portfolios. They analyze large datasets to identify patterns and develop strategies that aim to optimize returns while managing risks. Quant Portfolio Managers often work in hedge funds, asset management firms, or investment banks, and typically have strong backgrounds in mathematics, finance, statistics, or computer science.

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

To thrive as a Quant Portfolio Manager, you need a strong background in quantitative analysis, financial theory, statistics, and typically an advanced degree in a quantitative field such as mathematics, finance, or computer science. Mastery of programming languages (such as Python, R, or MATLAB), experience with portfolio management systems, and familiarity with databases and financial modeling tools are also essential. Analytical thinking, problem-solving abilities, and effective communication set top performers apart in this role. These skills and qualities are crucial for developing robust investment strategies, managing risk, and communicating complex concepts to stakeholders.
What are popular job titles related to Quant Portfolio Manager jobs in Michigan? For Quant Portfolio Manager jobs in Michigan, the most frequently searched job titles are:
What job categories do people searching Quant Portfolio Manager jobs in Michigan look for? The top searched job categories for Quant Portfolio Manager jobs in Michigan are:
What cities in Michigan are hiring for Quant Portfolio Manager jobs? Cities in Michigan with the most Quant Portfolio Manager job openings:

Commercial Portfolio Manager III - Equipment Finance

Huntington

Bloomfield Hills, MI • On-site, Remote

$83K - $208K/yr

Full-time

Medical, Life, Retirement, PTO

Posted 3 days ago

New


Job description

Description

This position is available to be filled at any Huntington Bank Corporate office location. 

The Commercial Portfolio Manager III – Equipment Finance serves as a senior-level credit professional responsible for underwriting and managing large, complex credit relationships. This role demonstrates advanced credit expertise, exercises independent judgment in evaluating credit risk, and serves as a trusted resource to peers, relationship managers, and credit leadership. In addition to underwriting responsibilities, the Commercial Portfolio Manager III provides guidance and mentorship to junior team members, assists with process improvement initiatives, and contributes to the overall quality and consistency of credit decisioning across the portfolio while adhering to all regulatory and compliance guidelines. A critical component of this role is early identification of emerging credit problems and industry trends.   

Duties and Responsibilities:

  • Independently underwrite complex large-ticket equipment finance lease / loan facilities.
  • Perform comprehensive analysis of borrower financial statements, cash flow generation, leverage, liquidity, collateral coverage, and repayment capacity.
  • Assess qualitative and quantitative risk factors, including industry dynamics, competitive positioning, management strength, customer concentration, and operational performance.
  • Prepare and present detailed credit recommendations and underwriting memoranda for approval authorities.
  • Serve as the primary credit resource for complex, high-exposure, or specialized transactions requiring advanced analytical expertise.
  • Evaluate transaction structure, collateral position, guarantor support, and other risk mitigants to ensure alignment with Huntington’s risk appetite.
  • Recommend risk ratings and monitor relationships for material changes in financial condition, collateral position, or overall credit profile.
  • Partner closely with assigned Relationship Managers, Sales personnel, Credit Officers, Legal, Operations, and other stakeholders to facilitate sound credit decisions while supporting business objectives.
  • Provide thoughtful challenge to transaction assumptions and identify emerging risks that may impact credit quality.
  • Mentor and provide technical guidance to Credit Analysts, Portfolio Managers, and Senior Portfolio Managers, including review of analyses, coaching, and knowledge sharing.
  • Assist management with training, onboarding, and development of less experienced team members.
  • Serve as a subject matter expert for underwriting policy, financial analysis, industry research, and credit structuring matters.
  • Support special projects, strategic initiatives, portfolio reviews, regulatory examinations, and internal audit requests.
  • Identify opportunities to improve underwriting efficiency, consistency, and risk management practices.
  • Act as a resource for escalated credit matters and assist management in evaluating complex risk scenarios and exception requests.
  • Maintain a high level of awareness regarding economic conditions, industry developments, regulatory changes, and emerging credit risks.
  • Performs other duties as assigned.

Required Qualifications:

  • Bachelor's Degree in Accounting, Finance, or related field.
  • 7+ years of experience in commercial credit analysis.

Preferred Qualifications:

  • Previous equipment finance underwriting experience.
  • Strong interpersonal skills and solid written/verbal communication.
  • Ability to prioritize workflow and multi-task in a fast-paced environment.
  • Sound judgment and the ability to balance risk management objectives with business considerations.
  • CLFP designation.

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Exempt Status: (Yes = not eligible for overtime pay) (No = eligible for overtime pay)

Yes

Workplace Type:

Office

Our Approach to Office Workplace Type

Certain positions outside our branch network may be eligible for a flexible work arrangement. We’re combining the best of both worlds:  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.

Compensation Range:

$83,700 - $208,000 Annual Salary

The 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.  Colleagues in this position are also eligible to participate in an applicable incentive compensation plan.  In 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). 

Huntington is an Equal Opportunity Employer.

Tobacco-Free Hiring Practice: Visit Huntington's Career Web Site for more details.

Note to Agency Recruiters:  Huntington will not pay a fee for any placement resulting from the receipt of an unsolicited resume.  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.