Portfolio Management Analyst
Job in
Miami, Miami-Dade County, Florida, 33222, USA
Listed on 2026-02-28
Listing for:
OneSearch Group
Full Time
position Listed on 2026-02-28
Job specializations:
-
Finance & Banking
Financial Analyst, Risk Manager/Analyst, Corporate Finance, Financial Consultant -
Business
Financial Analyst, Risk Manager/Analyst
Job Description & How to Apply Below
OSG, in partnership with a top-performing Corporate Banking team in South Florida, is seeking a Portfolio Management Analyst to join a high-performing platform overseeing Corporate-Syndicated, Project Finance, and Middle Market credit portfolios.
This role reports directly to the Portfolio Management Vice President and will support dynamic portfolio monitoring, credit risk management, transaction execution, and strategic analysis across a diversified corporate banking portfolio.
Essential Functions- Assist in monitoring a diversified portfolio of corporate banking transactions to ensure credit quality, covenant compliance, and risk-adjusted performance.
- Support quarterly covenant compliance tracking and leveraged loan reporting.
- Maintain portfolio tracking files, including balances, ratings, exposure levels, and key performance metrics.
- Review borrower financial statements, compliance certificates, and other reporting requirements.
- Identify potential early warning signals and escalate findings with thoughtful risk mitigation recommendations.
- Maintain organized credit files to ensure accuracy and regulatory compliance.
- Support underwriting and analysis for amendments, waivers, refinancings, and restructurings.
- Assist in preparing credit memoranda and portfolio review presentations.
- Coordinate aspects of the loan closing process, ensuring documentation aligns with approved credit terms.
- Assist with legal documentation review in coordination with internal teams and external counsel.
- Analyze capital structures, syndicated loan terms, and project finance documentation.
- Work closely with Relationship Managers, Credit, and Treasury teams to support post-transaction processes.
- Participate in pipeline meetings and credit discussions, contributing portfolio insights.
- Assist with cross-sell coordination by identifying treasury and cash management opportunities within the portfolio.
- Prepare portfolio analytics and ad hoc analyses for senior management.
- Contribute to performance trend analysis and risk metric reporting.
- Support initiatives aimed at optimizing portfolio returns and improving risk-adjusted profitability.
- Bachelor’s degree in Finance, Economics, Accounting, or related field.
- 1–3+ years of experience in Corporate Banking, Credit Analysis, Leveraged Finance, or Portfolio Management.
- Strong financial statement analysis and modeling skills.
- Working knowledge of syndicated loans, project finance, and middle-market credit structures.
- Proficiency in Excel and PowerPoint; familiarity with nCino is a plus.
- Strong organizational skills and attention to detail.
- Effective communication skills and ability to collaborate across business lines.
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