Portfolio Management Leader

3 days ago


Toronto, Ontario, Canada Scotiabank Full time
About the Role

We are seeking a highly skilled Portfolio Management Leader to join our team at Scotiabank. As a key member of our Portfolio Management & Analytics team, you will play a critical role in driving business strategies, plans, and initiatives for our Mortgage and HELOC Portfolios.

Key Responsibilities
  • Strategic Analysis: Assist the Sr. Manager & Director in conducting sensitivity analyses to evaluate performance benchmarks against various environmental trends; develop scenario frameworks and readiness playbooks by identifying and prioritizing levers.
  • Credit Policy Development: Collaborate with various teams in the development and adjustments to credit policies through judicious insights, focusing on credit performance.
  • Portfolio Monitoring: Monitor RESL portfolio indicators, proactively assessing performance alongside macro-economic and external trends.
  • Customer Vulnerability Analysis: Triangulate internal data analyses with macro-economic and consumer trend reports to identify customer vulnerability; maintain an integrated set of performance benchmarks to continuously monitor segment performance.
  • Annual Planning: Collaborate in assisting the annual planning process through thought leadership on implications to KPIs and risk-related metrics, based on business objectives and growth plans.
  • Deep Dive Analysis: Collaborate in the preparation of deep dive analyses on key segments within the RESL portfolio, provisioning, and peer trends.
  • Statistical Analysis: Collect, process, and perform statistical analysis (prescriptive to predictive) on complex datasets to inform risk decisions.
Requirements
  • Strong Analytical Skills: Strong analytical skills and the ability to create and interpret information/data required to monitor the performance of credit portfolios are essential.
  • Technical Skills: Proficiency in programming and/or database programs (MongoDB, SAS, JAVA, SQL, R, Hadoop, Python).
  • Education: Must have a university degree in a relevant STEM discipline (Science, Technology, Engineering, and Mathematics).
  • Experience: 3-5 years of relevant work experience.
  • Expertise: Expertise and thorough understanding of credit and portfolio management, mortgage underwriting, and credit analytics.
  • Business Acumen: Good understanding of: i) RESL products, systems, and channels, and the markets in which Scotiabank operates; ii) Bank's credit risk policy and risk appetite framework; iii) retail lending process and applications; and iv) legislative and marketplace issues relative to credit risk management.
  • Communication Skills: Solid financial skills, solid deductive reasoning, sound judgment, and creativity. Strong verbal and written communication skills and the ability to effectively convey information to various levels of management.
  • Credit Risk Management: Knowledge of credit risk management origination techniques and strategies in Retail credit, including the creation of champion/challenger tests and risk strategies utilizing credit risk scores.


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