VP of Portfolio Economics
Location: Remote
Compensation: Salary
Reviewed: Mon, Jul 27, 2026
This job expires in: 29 days
Job Summary
Owning the portfolio profitability framework, the full-time VP of Portfolio Economics will manage pricing and profitability analysis, coordinate cross-functional interactions, and drive strategic decisions to optimize portfolio performance in a hybrid work environment.
Key responsibilities
- Own the portfolio profitability framework, including unit margins and expected returns
- Build and maintain recurring reporting for portfolio economics, focusing on yield and performance metrics
- Identify areas for portfolio improvement and design bespoke programs for high-value merchants
Required qualifications
- Proficiency in SQL or equivalent data analysis tools
- Deep understanding of consumer credit and lending unit economics
- Experience in quant trading, pricing strategy, or risk analysis within fintech or specialty finance
- Strong analytical skills combined with commercial judgment and a game theory mindset
- Ability to work independently and tackle complex problems without immediate team support
COMPLETE JOB DESCRIPTION
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