What are the responsibilities and job description for the Portfolio Analytics and Strategy Specialist (1121478) position at The Judge Group?
Location: Pittsburgh, PA
Salary: $100,000.00 USD Annually - $110,000.00 USD Annually
Description
Job Description – Portfolio Analytics And Strategy Specialist
Location: Pittsburgh, PA
Employment: Fulltime
Overview
We are seeking a highly analytical and technically strong Portfolio Analytics And Strategy Specialist to support financial, regulatory, and risk modeling initiatives. The ideal candidate will have deep expertise in credit risk, predictive modeling, risk appetite, and quantitative analytics, along with hands-on technical experience in Python, SQL, and stress testing frameworks (CECL/CCAR). This role requires strong communication skills, problem‑solving abilities, and a solid understanding of IT infrastructure and bank balance sheets.
Must-Have Skills
Technical & Functional Skills
Financial & Regulatory Analysis
Contact: ssharma17@judge.com
This job and many more are available through The Judge Group. Find us on the web at www.judge.com
Salary: $100,000.00 USD Annually - $110,000.00 USD Annually
Description
Job Description – Portfolio Analytics And Strategy Specialist
Location: Pittsburgh, PA
Employment: Fulltime
Overview
We are seeking a highly analytical and technically strong Portfolio Analytics And Strategy Specialist to support financial, regulatory, and risk modeling initiatives. The ideal candidate will have deep expertise in credit risk, predictive modeling, risk appetite, and quantitative analytics, along with hands-on technical experience in Python, SQL, and stress testing frameworks (CECL/CCAR). This role requires strong communication skills, problem‑solving abilities, and a solid understanding of IT infrastructure and bank balance sheets.
Must-Have Skills
Technical & Functional Skills
- Analytical Thinking & Approach
- Credit Risk & Credit Risk Analytics
- Data Analytics, Big Data Management
- Financial Analysis & Performance Measurement
- Operational Risk Assessment
- Quantitative Models, Pricing Models & Predictive Analytics
- Regulatory Knowledge (Financial Services)
- Risk Management in Banking
- Mathematics of Financial Instruments
- Banking Products & Regulatory Environment
- Experience with Python coding, SQL, and technical product ownership
- Strong exposure to CECL and CCAR stress testing
- Understanding of IT infrastructure and bank balance sheet components
- Excellent communication and problem‑solving skills
Financial & Regulatory Analysis
- Prepare and analyze financial and regulatory reports to maintain strong controls and compliance.
- Run complex business performance, operational, and risk analytics.
- Develop analytical methods/models to assess market, credit, and operational risk.
- Apply predictive modeling and segmentation strategies to guide acquisition and portfolio decisions.
- Utilize third‑party data and advanced tools for deeper portfolio insights.
- Conduct rigorous analysis on large datasets to drive risk‑adjusted returns.
- Develop and implement strategies to:
- Improve lending decisions
- Manage credit/operational risk
- Optimize portfolio performance
- Increase revenue and reduce losses
- Create baselines for strategies and compare actual performance vs. expectations.
- Design and enhance standard reporting suites for product and portfolio reviews.
- Collaborate with cross-functional teams (Credit, Finance, Data, Business Lines) for analytical reporting and test design.
- Work with internal stakeholders to establish credit risk appetite frameworks.
- Assist in implementing policies and procedures to monitor, identify, and manage risks.
- Manage internal and external data providers to ensure accuracy, governance, and fit‑for‑purpose analytical solutions.
Contact: ssharma17@judge.com
This job and many more are available through The Judge Group. Find us on the web at www.judge.com
Salary : $100,000 - $110,000