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ALM Associate Senior - Portfolio Management

Job in Pittsburgh, Allegheny County, Pennsylvania, 15201, USA
Listing for: PNC Financial Services Group, Inc.
Full Time position
Listed on 2026-06-14
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Consultant, Portfolio Manager, Financial Analyst
Job Description & How to Apply Below
Position Overview

At PNC, our people are our greatest differentiator and competitive advantage in the markets we serve. We are all united in delivering the best experience for our customers. We work together each day to foster an inclusive workplace culture where all of our employees feel respected, valued and have an opportunity to contribute to the company's success.

As an ALM Associate Senior - Portfolio Management within PNC's Asset Liability Management organization, you can be based in NYC or Pittsburgh, PA.

The ALM Associate Senior will support PNC's Chief Investment Office, which is led by PNC's Chief Investment Officer ("CIO") and responsible for managing over $200 billion in fixed income assets and derivative products within PNC Bank's investment securities and derivatives portfolio. The Senior Associate will work directly alongside senior portfolio managers and traders to develop credit and relative value views, evaluate investment opportunities, conduct research, and support credit modeling across structured products portfolios.

The role also supports regulatory and risk initiatives that provide meaningful exposure to bank balance sheet management and ALM strategy.

The ideal candidate is an analytically driven investment professional with a demonstrated commitment to developing deep expertise in structured credit markets. A top priority is a strong foundation in fixed income securities, with particular emphasis on familiarity with Asset-Backed Securitizations (ABS) and related structures. Working knowledge of structured products (ABS, RMBS, CMBS, CLO), cash flow modeling, and broader fixed income principles is strongly preferred.

Proficiency in Python and SQL is preferred, and experience leveraging generative AI tools for research synthesis and workflow automation is highly desirable. Familiarity with bank balance sheets, interest rate risk management, and securitization-related regulatory frameworks is considered a plus.

The candidate should also possess strong research and writing capabilities to effectively analyze, synthesize, and communicate investment insights.

PNC is one of the largest banks in the US based on domestic assets, which totaled $603 billion as of Q1 2026.

Job Description & Responsibilities

* Securitization Analytics - Evaluate new-issue ABS, CLO, RMBS, and CMBS transactions for potential portfolio acquisition, including structural analysis, collateral review, cash flow modeling, and relative value assessment. Analyze and recommend potential purchases and sales of securitized products to enhance portfolio performance. Coordinate with portfolio managers, broker-dealers, and rating agencies to support investment decision-making. Familiarity with bank securitization programs and significant risk transfer (SRT) structuring is a plus.

* ABS Portfolio Analytics - Develop and maintain credit and relative value views across the structured products portfolio. Perform ongoing collateral surveillance, spread analysis, and sector-level performance monitoring, including analysis of underwriting trends, prepayment and default dynamics, and macroeconomic factors affecting securitized credit. Prepare analytics packages, trade recommendations, and reporting for portfolio managers and trader meetings. Support credit model review and validations.

* Sector Research & Communication - Conduct fundamental sector, market, and security-level analysis and synthesize findings into well-researched investment recommendations and sector theses. Communicate views clearly to portfolio managers, traders, and senior staff, collaborating across internal and external stakeholders to inform portfolio strategy.

* Regulatory & Risk Support - Support regulatory reporting, capital and liquidity exercises, loss reserving (CECL), stress testing, and model validation efforts for the structured products portfolio in coordination with risk, finance, and quantitative partners.

* Data Infrastructure & Automation - Maintain and enhance portfolio databases, dashboards, and classification systems. Leverage Python, SQL, and generative AI tools to improve reporting accuracy, efficiency, and scalability.

PNC is an in-office company that fosters a supportive culture where employees can thrive and achieve balance. We encourage candidates to connect with their recruiter and hiring manager to understand workplace expectations and ensure the role aligns with their goals.

PNC will not provide sponsorship for employment visas or participate in STEM OPT for this position.

Job Description

* Using independent judgment and discretion, performs transaction and portfolio level analysis, conducts research and prepares reports. Performs due diligence and statistical analysis related to portfolio management.

* Utilizes a working knowledge of financial instruments for the bank's investment portfolio, including research and collection of relevant information.

* Develops and maintains management reports that help the Group meet their goals and directives. These…
Position Requirements
10+ Years work experience
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