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Job details finance vice-president - financial, communications and other business services
Title posted on Career Beacon - Senior Manager, Commercial Loan Portfolio Reporting & Analytics
Posted on February 03, 2026 by Employer details RBC Dominion Securities
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What is the opportunity? The Commercial Loan Portfolio Management team is responsible for providing deep analytical insights pertaining to growth, risk, and returns in the ~ $300 billion Commercial Banking loan portfolio. The team s objective is to ensure a thorough understanding of the following key elements:
Growth, Risk, and Returns. Reporting is shared with various stakeholders, primarily at the executive level, across the Enterprise including Commercial Banking National Office, Regional Banking, Corporate Client Group, Group Risk Management, etc. As part of the Commercial Lending team, the Senior Manager, Commercial Loan Portfolio Reporting & Analytics, will assist in providing valuable insights to senior leadership on the performance of the Commercial portfolio and help promote a “Best of Class” portfolio management environment.
The successful candidate will be responsible for analyzing, monitoring, and reporting on the performance of the Commercial Lending portfolio.
Responsibilities Leverage portfolio and external data to prepare clear, concise, and insightful analysis to senior leadership on key trends within the Commercial Lending portfolio
Be a point person in assisting with the organization and preparation of materials for Quarterly Business Review meetings with senior management across the Commercial bank
Build and utilize financial models and data analytics tools to support portfolio optimization strategies and forecast performance under different scenarios
Assist in the development and maintenance of portfolio monitoring dashboards and reports
Translate general business questions into analytic requirements and deliver meaningful insights and recommendations to solve business problems
Use business strategy and growth plans to perform impact and sensitivity analysis on the current portfolio and make optimization recommendations
Evaluate risk vs. reward by identifying vulnerabilities and opportunities within the portfolio using a data-driven approach
Collaborate closely with internal stakeholders, including credit risk, finance, and other Commercial teams to enhance portfolio management strategies and ensure compliance with regulatory requirements
Establish and maintain productive working relationships with Advisors and individuals at all levels, both internally and externally
What you need to succeed Completed an undergraduate degree in Business, Finance, Economics, or a related field; emphasis on a quantitative discipline (Statistics, Mathematics, Computer Science, Engineering, etc.) is preferred
Exceptional analytical skills with proficiency in Excel, SQL, and data visualization tools (e.g., Tableau, etc.)
Excellent problem solving and critical thinking skills with demonstrated ability to develop targeted data-driven insights in support of business objectives
A strong interest in data and a desire to hunt for solutions and find creative ways to solve problems
The ability to effectively communicate analytically complex ideas into clear and concise insights and presentations
Nice to Have:
Experience working in an analytical function (Financial Analysis, Credit Risk, etc.), or as an Analyst or Manager (in Business line, Risk and/or Finance functions)
Communication:
Strong written and oral communications skills to explain complex concepts, influence and build consensus
Independent work:
Skills to understand assigned work and then independently execute towards completion with minimal supervision
Networking:
Ability to build and utilize internal networks to assist in project completion with emphasis on effective collaboration and consideration of diverse perspectives
What’s in it for you?
Location:
Toronto, ON
Work location:
On site
Salary: $51.28 to $153.85 hourly
Terms of employment:
Permanent employment, Full time
Starts as soon as possible
Vacancies: 1…
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