• PORTFOLIO ANALYTICS & STRATEGY...

PORTFOLIO ANALYTICS & STRATEGY MANAGER SR.
The PNC Financial Services Group, Inc. seeks a
Portfolio Analytics & Strategy Manager Sr. in
Pittsburgh, PA. As a member of an analytics team
within Credit Portfolio Management, this position will
provide in-depth analytics using modeling and
optimizing methods to support the Commercial &
Industrial Lending Portfolio, and assist management
with decision making and other managerial functions.
Speci?c duties include: (i) develop and manage talent
by creating engaged, inclusive and diverse teams who
are empowered to spea freely and act with integrity,
and be responsible for managing organizational units
with the talents and skills needed to accomplish
complex goals; adjust team composition as needed to
maximize effectiveness; (ii) leverage business/product
expertise to manage and train employees that
rigorously analyze large datasets, improve risk
adjusted returns, deliver pro?table growth, and
communicate conclusions; (iii) synthesize analytical
results and develop, recommend, and implement
business strategies that improve lending decisions,
assist in managing risk, increase revenues, reduce
exposure to losses, meet business goals, and improve
performance; (iv) establish baselines for strategies and
track actual performance to expectations; (v) manage
and train employees to apply predictive models, third
party data, and other tools to develop and execute
appropriate segmentation and targeting for acquisition
and portfolio strategies to provide insight into portfolio
risk; (vi) manage engagements with internal and
external information suppliers ensuring solution is ?t
for purpose while maintaining appropriate governance
and oversight; (vii) understand and manage the
communication of regulatory and ?nancial accounting
impacts on the balance sheet to regulators and PNC
control functions as appropriate; (viii) interact with
regulators, internal audit, and management concerning
credit portfolio analyses and credit risk appetite; (ix)
evaluate market conditions and peer bank behavior to
identify internal and external trends and issues
affecting credit risk and return and to determine
appropriate risk limits and optimal portfolio allocation;
and (x) manage and train employees to communicate
portfolio trends and analytical results to senior
management and working committees in a cross
functional environment.
 
Master's degree in Statistics, Mathematics, Economics,
Industrial Engineering, Management Science or
Finance plus 6 years of experience using analysis with
quantitative techniques to support ?nancial strategy
development is required. Experience must include: (i)
experience in direct ?nancial services with secured or
unsecured consumer or commercial lending products;
(ii) advanced database management (writing complex
SQL queries and performing UNIX commands); (iii) data
analysis with SAS (Enterprise, UNIX, and MACRO),
advanced Excel (writing macros), Oracle database
(evaluating data and creating queries) and Tableau
dashboards; and (iv) data mining and statistical
modeling techniques (regression, logistic regression
and decision trees) to drive strategy development.
 
40 hours/week, 8:00 a.m.-5:00 p.m. Interested
individuals apply online at www.pnc.com using
keyword 311948BR. PNC provides equal employment
opportunity to quali?ed persons regardless of race,
color, sex, religion, national origin, age, sexual
orientation, gender identity, disability, veteran status,
or other categories protected by law.
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PostedMarch 24, 2019