Portfolio Manager
Listed on 2026-01-05
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Finance & Banking
Portfolio Manager, Risk Manager/Analyst -
Management
Portfolio Manager, Risk Manager/Analyst
The Portfolio Manager is responsible for overseeing the administration, performance, and strategic direction of a property portfolio. This role focuses on ensuring compliance with risk management policies, optimizing client relationships, and driving portfolio growth while maintaining alignment with organizational goals and market conditions.
Key Responsibilities:- Portfolio Oversight
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Administer and manage the performance of a property portfolio, ensuring alignment with company strategies and regulatory requirements. - Risk Management
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Analyze, underwrite, and monitor assigned relationships, assessing financial and operational data to recommend risk mitigation and portfolio adjustments. - Renewal Management
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Collaborate with clients, support staff, and the credit department to manage the renewal process efficiently. - Performance Reporting
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Prepare detailed monthly performance reports for internal teams, leadership, and investors. - Market Analysis
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Stay informed of economic conditions, market trends, and legislative changes that may affect the real estate landscape and customer relationships. - Risk Identification
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Proactively identify and address risk and opportunity characteristics within the portfolio, with a forward-looking view of market conditions. - Strategic Guidance
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Provide insights on asset allocation, pricing trends, and industry-specific challenges to steer property originations and optimize portfolio performance. - Innovation in Reporting
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Develop and implement advanced portfolio reporting tools and methodologies for continuous monitoring and trend analysis. - Concentration Risk Management
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Help develop and monitor concentration risk methodologies, ensuring balanced portfolio exposure and mitigating over-concentration risks.
Experience and Skills:
- Strong background in commercial real estate.
- Experience in portfolio management, credit analysis, and risk mitigation strategies.
- Ability to interpret and analyze financial and operational data to drive decision-making.
- Knowledge of market trends, economic conditions, and regulatory guidelines.
- Excellent communication and collaboration skills for interacting with clients, team members, and stakeholders.
- Proficiency in creating detailed performance and risk reports for leadership and investors.
Skills:
- Familiarity with statistical modeling and portfolio analysis tools.
- Understanding of property market dynamics and valuation metrics.
- Expertise in risk concentration methodologies and asset allocation strategies.
About Lincoln Property Company
Lincoln Property Company (Lincoln) is one of the largest private real estate firms in the United States. Offering a fully integrated platform of real estate services and innovative solutions to owners, investors, lenders and occupiers, Lincoln supports the entire real estate lifecycle across asset types, including office, multifamily, life science, retail, industrial, data center, production studio, healthcare, government, universities, and mixed-use properties, throughout the United States, United Kingdom, and Europe.
All job offers are contingent on completion of a background check and proof of eligibility to work in the United States.
Lincoln Property Company is an equal opportunity employer.
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