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Manager - Portfolio Management Loans Support

Job in City Of London, Central London, Greater London, England, UK
Listing for: Public Sector Resourcing
Full Time position
Listed on 2026-08-08
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Portfolio & Asset Management, Financial Analyst
Salary/Wage Range or Industry Benchmark: 40000 - 47000 GBP Yearly GBP 40000.00 47000.00 YEAR
Job Description & How to Apply Below
Location: City Of London

Manager - Portfolio Management Loans Support

Homes England National Housing Bank

39,933 - 46,573 Hybrid

Location:

Hybrid 50/50 Our new Headquarters are in Leeds and this role is based in Birmingham, Bristol or London.

Homes England is launching the National Housing Bank, a government-backed investment platform to accelerate housing delivery across England. With 16bn in capital, it will unlock private investment, support regeneration and accelerate housing delivery across the UK. Joining now offers a rare opportunity to shape a major new national investment platform from the ground up.

The role holder will support the management of a portfolio of debt investment transactions and partner relationships for successful outcomes i.e. delivery, value, return/recovery and growth. Investments include a variety of funding structures and solutions across a range of asset class sub sectors.

The role holder will work collaboratively supporting the lead Portfolio Manager in ensuring strong stewardship through effective client management, which includes managing and mitigating risks, regular monitoring, reporting and assurance.

The role consistently demonstrates and embeds the values and behaviours in daily work, contributing to a positive and inclusive culture.

The opportunity

Responsibilities include:

  • Support delivery of housing starts, completions, unlocking of land, and budgeted spend aligned with the National Housing Bank Business Plan and annual targets.
  • Prepare credit submissions, payment requests, and instruct legal documentation to maintain compliance and quality standards.
  • Maintain oversight of portfolio performance and provide assurance through accurate data reporting and stewardship activities.
  • Monitor and manage risk profiles across transactions, identifying early signs of deterioration and work collaboratively with the lead Portfolio Manager implementing corrective actions in collaboration with Risk and Distressed Investments.
  • Analyse portfolio metrics and performance data to draft and produce high-quality reports and recommendations.
  • Contribute to policy and process reviews, recommending and implementing improvements to enhance efficiency and compliance.
Candidate profile

You're an experienced investment professional with:

  • Degree-level qualification or equivalent experience in Banking, Finance or a related field.
  • Proficient understanding of cashflow analysis and financial modelling.
  • Understanding of deal execution documents (e.g. Shareholder Agreements, Loan Agreements).
  • Experience in risk and client management across real estate lending portfolios, with development finance experience preferable.
  • Strong organisational skills with the ability to manage multiple priorities and meet deadlines.
Why join?
  • Build a national financial institution from the ground up
  • Lead a high-impact fund management function deploying billions in public capital
  • Competitive salary, 33 days' leave, hybrid working and wellbeing support
  • Work in a purpose-driven, collaborative and inclusive environment

Closing date: 1st September, 2026

Right to Work in the UK is required.

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