VP, Portfolio Management
Listed on 2025-12-31
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Finance & Banking
Financial Consultant, Risk Manager/Analyst
Join to apply for the VP, Portfolio Management role at Finance of America
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Responsible for managing a team of Portfolio Analysts focused on monitoring portfolio performance, managing market and financing risks, reporting on portfolio P&L, and building analytical tools to conduct daily business. Primary products will be HECM buyouts, HECM MSR, and Home Safe loans. Also responsible for conducting market research and analysis to identify strategic opportunities to maximize portfolio returns.
Key Responsibilities- Manages HECM buyout securitizations by working closely with rating agencies and dealers to optimize balance sheet risk.
- Engages in HECM MSR pricing activities and monitors pricing decisions for new HECM loans.
- Works closely with the Capital Markets team on the execution of HMBS trades.
- Works closely with the Valuation and Analytics team regarding model performance, forecasting assumptions, and aligns cash flow forecasts within GAAP models.
- Advises on key risks for Home Safe, notably the impact of home price forecasts on portfolio risk.
- Develops or utilizes third‑party home price indices to generate geography‑specific pricing adjustments for the Home Safe program.
- Directs a team of Portfolio Analysts to monitor performance and risks by applying financial metrics and risk models.
- Builds analytical tools by developing financial models, automating data visualization, and integrating technology to enhance analysis.
- Manages hedging and P&L optimization by assessing market data, adjusting exposure, and implementing strategies to improve outcomes.
- Remains abreast of industry trends, products, best practices, technologies, competitive landscape, and regulatory changes to modify strategic plans.
- Performs other duties as assigned.
- SVP, RVA
3‑5 Portfolio Analyst II
Qualifications – Experience / Skills / Competencies- Minimum 8 years of experience developing and updating financial models, preferably for a financial services or mortgage lending organization.
- Strong understanding of financial markets and economic indicators, with strong analytical and critical thinking skills.
- Financial modeling and data analysis abilities.
- High aptitude for learning new technology and tools.
- Ability to make informed decisions, even when faced with ambiguity.
- Excellent verbal and written communication skills.
- Highly proficient with Microsoft Word, Excel, PowerPoint, and Outlook.
- Detail oriented and focused.
- Bachelor’s Degree
- Economics, Mathematics, Statistics, or related.
The base salary range for this position is $200,000 – $220,000, inclusive of geographic differences. The base salary will be determined based on location, skills, education, and experience. We offer a competitive benefits package including health, dental, vision, life insurance, paid time‑off benefits, flexible spending account, 401(k) with employer match, and ESPP.
Final date to receive applications: 12/22/2025.
Finance of America is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, sex (including pregnancy), sexual orientation, religion, creed, age, national origin, physical or mental disability, gender identity and/or expression, marital status, veteran status or other characteristics protected by law.
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