Portfolio Analyst I

221

Base: $25.00ph - $26.00ph; bonus/equity: 12.5% cas...
Bachelor's degree required
1+ years mortgage experience
Strong mortgage analysis skills
This role supports Consumer Portfolio Management functions by managing a portfolio of SFR loans using a risk-based approach

Job Summary

  • This role supports Consumer Portfolio Management functions by managing a portfolio of SFR loans using a risk-based approach.
  • Eligible candidates receive an annual discretionary cash bonus target of 12.5% and an annual restricted stock units bonus target of 12.5%.
  • The position requires conducting comprehensive loan reviews, analyzing borrower financials, and managing escrow accounts for taxes and insurance.

Matching Summary

This role supports Consumer Portfolio Management functions by managing a portfolio of SFR loans using a risk-based approach.

Salary

Base: $25.00/Hr - $26.00/Hr; Bonus/Equity: 12.5% Cash + 12.5% RSU targets; Benefits: Medical, Dental, Vision, Life, 401(k) match

Skills & Requirements

Must-have

  • Bachelor's degree required
  • 1+ years mortgage experience
  • Strong mortgage analysis skills
  • Financial statement spreading
  • Salesforce usage capability
  • Microsoft Office proficiency

Nice-to-have

  • Collaborative mindset
  • Fast-paced environment adaptability
  • Customer-focused approach
  • Detail-oriented professional
  • Proactive risk mitigation

Key Requirements

  • Bachelor's degree
  • 1+ years of mortgage experience
  • Knowledge of consumer mortgage framework
  • Basic legal documentation principles

Work Rights

Not specified

Tailored Resume

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