Risk Portfolio Manager
Location: Remote
Compensation: To Be Discussed
Reviewed: Tue, Jul 14, 2026
This job expires in: 30 days
Job Summary
Overseeing a small team of analysts, the full-time Manager, Risk Portfolio will improve portfolio profitability by implementing strategies to reduce credit risk and increase revenue, while collaborating with Marketing, Product, and Technology teams in a remote work environment.
Key responsibilities
- Develop and implement innovative strategies to minimize credit/fraud losses and maximize revenue
- Utilize advanced statistical software to analyze data and propose underwriting and pricing strategies
- Present findings and recommendations to management, while interacting directly with clients to gather input on strategies
Required qualifications
- Bachelor's degree in Business Administration, Statistics, or a related field
- 3 years of experience in Credit Risk Analysis, Portfolio Risk Management, and Data Analytics
- 2 years of experience in Cross-Functional Collaboration and Project Management
- 1 year of experience in Financial Modeling and Credit Rating
- Proficiency in statistical and query tools such as SAS, SQL, or Python
COMPLETE JOB DESCRIPTION
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