Specialty Portfolio Manager
Job in
San Francisco, San Francisco County, California, 94199, USA
Listed on 2026-01-23
Listing for:
MRISpokane
Full Time
position Listed on 2026-01-23
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Financial Analyst, Corporate Finance
Job Description & How to Apply Below
Location:
Bay Area preferred (San Francisco / Peninsula / East Bay). Broader California considered for the right candidate.
Overview
This is a high-ownership Portfolio Manager role inside a fast-growing Strategic Specialty Lending / Corporate Banking group that operates like a startup within a well-established bank. You’ll partner closely with a senior commercial banking sales team and work on complex credits across Asset-Based Lending, Leveraged Finance, sponsor-backed transactions, and M&A-related opportunities.
This is not a narrow “portfolio only” job. You’ll run deals end-to-end—early diligence through underwriting, structuring, execution, and ongoing monitoring—while helping build a scalable platform.
What You’ll Do
• Own transactions end-to-end:
Lead deals from initial review through closing with minimal oversight.
• Drive diligence:
Identify the key questions early, run diligence calls, manage follow-ups, and keep the process moving.
• Underwrite and structure deals:
Shape deal terms, evaluate risks, and craft clear credit narratives for approval.
• Build and challenge financial analysis:
Review sponsor and non-sponsor models, identify key drivers, recreate/sensitize analyses, and develop downside scenarios.
• Support term sheets and documentation:
Provide input on term sheets, review and mark up legal documents, and negotiate terms with sponsors and counter parties.
• Manage the portfolio:
Monitor risk grades, covenants, collateral/performance trends, and profitability.
• Contribute to the build:
Help refine processes and (for senior hires) mentor junior support as the team scales.
What We’re Looking For
• 6+ years in commercial banking, underwriting, credit, specialty lending, or related experience.
• Specialty lending exposure in one or more of the following:
- Asset-Based Lending
- Leveraged / sponsor-backed lending
- M&A / event-driven credit
- Other complex corporate banking or specialized verticals
• Strong credit fundamentals: underwriting, structuring, policy discipline, and sound judgment under time pressure.
• Advanced Excel and financial analysis skills (you’ll be hands-on).
• Strong communication skills—able to influence internal stakeholders and engage confidently with external parties.
• Self-starter mindset: organized, resourceful, comfortable running multiple work streams at once.
The Environment
• Lean, fast-paced, high accountability. The team is scaling quickly and expects hires to contribute immediately.
• Broad mandate. You’ll see a wide range of deal types and industries.
• High visibility. You’ll partner directly with senior sales leadership and credit decision‑makers.
• Hands‑on role. This is an individual contributor seat today (even for senior candidates). If you want a purely managerial role with heavy infrastructure, this won’t be the right fit.
Why This Role
• You’ll have real influence on deal outcomes and how the platform evolves.
• You’ll work on sophisticated transactions with strong deal flow.
• You’ll join a group building something meaningful—where performance and judgment matter more than rigid lanes or titles.
Compensation & Leveling
Leveling is flexible (strong AVP/VP profiles are ideal; senior candidates considered if hands‑on). Compensation can be adjusted for standout specialty talent.
Compensation: $140,000-$160,000 per year
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