The Portfolio Manager reviews the customer's goals and develops investment strategies that will attain and support those objectives with acceptable risk. Responsible for managing, evaluating, and monitoring key or complex investment portfolios comprised of bonds, securities, and equity funds in a banking environment. Being a Portfolio Manager monitors daily investment activities to be aware of market changes. Considers legal and tax impact of investment decisions. In addition, Portfolio Manager may manage a team of portfolio manages. Requires a bachelor's degree. Typically reports to top management. Requires Chartered Financial Analyst (CFA) Level 1. Being a Portfolio Manager gains exposure to some of the complex tasks within the job function. Occasionally directed in several aspects of the work. Working as a Portfolio Manager typically requires 2 -4 years of related experience. (Copyright 2024 Salary.com)
Description
SUMMARY
Responsible for managing, evaluating, and monitoring existing commercial portfolio. Provide support to members as a key point of contact. Prepare new loan requests, extensions/renewals of existing loans and annual review packages for submission to the Credit Analyst. When assigned, analyze and underwrite credit risk for new prospects for commercial loans. Provide assistance on due diligence activities including monitoring loans, collateral and financials.
ESSENTIAL DUTIES AND RESPONSIBILITIES:
Disclaimer: The job description is not designed to cover or contain a comprehensive listing of activities, duties or responsibilities that are required of the employee. Duties, responsibilities, and activities may change, or new ones may be assigned at any time with or without notice.
SUPERVISORY RESPONSIBILITIES: NONE
Requirements
EDUCATION:
SCU Credit Union is an equal employment opportunity employer.
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