Senior Manager, Portfolio Management
Senior Manager, Portfolio Management
Category:
Employement Type:
Full Time
Industry:
Salary:
Date Published:
11-Jul-2025
Senior Manager, Portfolio Management
📍 Mississauga, ON
| Full-Time | Hybrid (50% in-office)
Hollingsgate
is recruiting on behalf of our client, a leader in the consumer finance space.
💼 About the Role
We’re currently partnering with an innovative and growing financial services organization to find a Senior Manager, Portfolio Management
who’s ready to take the lead in driving smart, data-backed credit strategies across the customer lifecycle.
In this leadership role, you’ll be at the core of optimizing credit risk and portfolio performance — from acquisition through retention. You’ll guide a team of analysts, collaborate across departments, and play a key role in scaling a high-performing, resilient lending portfolio.
🌟 What You'll Do
- Monitor & Optimize Performance
- Use data-driven insights, models, and tools to evaluate portfolio health and performance. Identify risks, uncover opportunities, and forecast future outcomes.
- Mitigate Risk with Precision
- Spot trends and changes in customer behavior or market conditions, assess their impact, and develop strategies that protect portfolio quality while supporting growth.
- Own Loss Forecasting & Scenario Planning
- Lead forecasting, stress testing, and provision management to inform business planning and ensure appropriate risk controls are in place.
- Shape Credit Strategy
- Design and implement strategies across the full credit lifecycle — from new account acquisition to portfolio growth and limit management.
- Collaborate Cross-Functionally
- Partner with teams across product, finance, technology, and operations to align risk management with business goals.
- Lead & Inspire
- Mentor a team of analysts, foster collaboration, and build a high-performance culture that values innovation and results.
- Report to Leadership
- Present key insights, risks, and recommendations to senior leadership and contribute to strategic decisions.
✅ What You Bring
- 7+ years of experience in credit risk, portfolio analytics, or consumer lending
- A degree in a quantitative or analytical field (e.g., Statistics, Finance, Economics, Engineering)
- Proven success in building and executing credit risk strategies
- Strong analytical and problem-solving skills; ability to translate data into actionable insights
- Experience using tools like SQL, Python, R, Power BI, Excel, and data warehouse platforms
- Confident communicator with experience presenting to executives
- Experience leading or mentoring high-performing teams
- Bonus points for experience in auto lending, sub-prime credit, or Canadian consumer credit products
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