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Senior Portfolio Analytics and Strategy Manager
Job in
Scranton, Lackawanna County, Pennsylvania, 18512, USA
Listed on 2026-09-09
Listing for:
Jobtailor
Full Time
position Listed on 2026-09-09
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Financial Analyst
Job Description & How to Apply Below
- Provide financial and regulatory reporting and analyses to maintain adequate controls over reporting processes
- Run complex business performance, risk, and operational analytics
- Develop analytical methods and models to assess market, credit, and operational risk
- Analyze large datasets to improve risk-adjusted returns and deliver profitable growth
- Communicate analytical conclusions and develop, recommend, and implement business strategies
- Improve lending decisions, manage risk, increase revenues, reduce loss exposure, meet business goals, and improve performance
- Establish strategy baselines and track actual performance against expectations
- Apply predictive models, third-party data, and other tools for segmentation and targeting in acquisition and portfolio strategies
- Manage engagements with internal and external information suppliers while maintaining governance and oversight
- Communicate regulatory and financial accounting impacts on the balance sheet to regulators and PNC control functions
- Interact with regulators, internal audit, and management regarding credit portfolio analyses and credit risk appetite
- Evaluate market conditions and peer bank behavior to identify trends and issues affecting credit risk and return
- Determine appropriate risk limits and optimal portfolio allocation
- Collaborate with line-of-business, Finance, and Risk partners to establish credit risk appetite and related policies and procedures
- Cultivate diverse teams, role-model values, drive change, achieve results, and develop employees as a people manager
- University/college degree typically required;
Education listed as Bachelors - 8+ years of industry experience typically required
- At least 5 years of prior management experience typically required
- Comparable combination of education, job-specific certification(s), and experience may be considered in lieu of a degree
- Knowledge of analytical thinking, credit risks, data analytics, financial analysis, model development, operational risks, quantitative models, and risk appetite
- Competencies in banking products, big data management and analytics, business analytics, credit risk, mathematics of financial instruments, operational risk, predictive analytics, pricing models and analytics, and the regulatory environment for financial services
- No required certifications
- No required licenses
- No required or preferred language assessments
- Must not require employment visa sponsorship; PNC will not participate in STEM OPT for this position
Demonstrates expertise in financial and regulatory reporting, risk management, and data analytics to drive strategic business decisions and improve performance. Proficient in developing predictive models and managing credit risk while collaborating with diverse teams to achieve organizational goals.
Highest-signal resume keywords- Financial Analysis
- Risk Management
- Data Analytics
- Model Development
- Credit Risk
- Analytical Thinking
- Quantitative Models
- Predictive Analytics
- Operational Risk
- Business Analytics
- Credit Risk
- Big Data Management
- Mathematics of Financial Instruments
- Performance Tracking
- Segmentation and Targeting
- Communication
- Team Leadership
- Change Management
- Results Orientation
- Employee Development
- Regulatory Environment
- Banking Products
- Risk Appetite
- Market Conditions
- Credit Portfolio
- Performance Improvement
- Loss Exposure
- Engagement Management
- Governance
- Operational Analytics
Position Requirements
10+ Years
work experience
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