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Portfolio Analytics & Strategy Analyst Senior
Career Insights for Investment / Portfolio Analyst
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Scorecard
Based on Pennsylvania data
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What they do
An Investment or Portfolio Analyst advises individuals and companies about investments. Typically works with a collection of investments called a portfolio, though can also advise clients about individual investments. Studies trends that impact investments and writes reports regarding economic and business changes and activities that affect the value of investments. Can also be involved in the selling of investments, such as stocks. Works mainly in investment firms, though can also be employed in lending institutions, corporate finance departments, banks or insurance companies.
$96,286 / year median in Pennsylvania
-1% projected decline
Job Description
- Decision Science page is loaded Portfolio Analytics & Strategy Analyst Senior
- Decision Science Apply locations PA
- Pittsburgh (15222) PA
- Philadelphia (19103) DE
- Wilmington (19801) OH
- Cleveland (44114) VA
- Tysons Corner View All 8 Locations time type Full time posted on Posted 2 Days Ago job requisition id R228372 Position Overview At PNC, our people are our greatest differentiator and competitive advantage in the markets we serve.
Key Responsibilities:
- Monitor and analyze performance of lending portfolios across multiple consumer and lending products.
- Develop and maintain analytical solutions using SQL and Python to support portfolio management, strategy development, and decision science initiatives.
- Query, validate, and analyze data from enterprise databases to identify trends, opportunities, and emerging risks.
- Evaluate portfolio performance metrics, customer behavior, credit trends, and bad debt outcomes.
- Support sales, lending, collections, and recovery strategy analysis through data-driven insights.
- Partner with Product, Risk, Technology, and Operations teams to understand business objectives and deliver analytical recommendations.
- Design and automate recurring reports, dashboards, and monitoring processes.
- Present analytical findings and recommendations to business leaders and cross-functional stakeholders.
- Participate in portfolio reviews and strategic discussions supporting business growth and risk management objectives.
- Contribute to process improvements, automation initiatives, and analytical best practices across the portfolio management organization.
Required Qualifications:
- Bachelor's degree in Data Science, Statistics, Mathematics, Economics, Finance, Analytics, Computer Science, or a related quantitative field.
- 1-2 years of relevant analytics experience or completion of an MBA or related graduate degree.
- Strong hands-on experience with SQL
- Writing complex queries
- Joins, aggregations, subqueries, and data validation
- Understanding relational databases and data structures
- Strong programming/coding experience with
Python:
data analysis and manipulation, data structures, and automation and reporting- Experience analyzing large datasets and developing business insights.
- Utilize project management and collaboration tools such as JIRA and Confluence to document requirements, track initiatives, and communicate project progress
- Strong analytical and problem-solving skills.
- Excellent communication and presentation skills with the ability to explain technical concepts to non-technical audiences.
- Ability to collaborate effectively across Product, Risk, Technology, and Operations teams.
- Proficiency with Microsoft Excel.
Preferred Qualifications:
- Experience with Tableau and/or Power BI.
- Experience supporting lending, credit, portfolio management, collections, or recovery strategies.
- Knowledge of consumer or commercial lending portfolios.
- Experience developing or monitoring: Statistical models, Predictive models, and/or Machine learning models
- Experience with Generative AI applications and analytics use cases.
- Familiarity with model performance monitoring and analytical testing methodologies.
- Understanding of risk management and debt analysis.
STEM OPT
for this position. Job Description Provides financial and regulatory reporting and analyses to maintain adequate controls over the financial and regulatory reporting processes. Responsible for running complex business performance, risk and operational analytics. May include the development of analytical methods/models to assess market, credit and/or operational risk of new and existing financial products. Leverages business / product expertise to rigorously analyze large datasets, improve risk adjusted returns, deliver profitable growth, and communicate conclusions. Synthesizes analytical results and develops, recommends, and implements business strategies that improve lending decisions, assist in managing risk, increase revenues, reduce exposure to losses, meet business goals, and improve performance. Establishes baselines for strategies and tracks actual performance to expectations. Applies predictive models, third party data, and other tools to develop and execute appropriate segmentation and targeting for acquisition and portfolio strategies to provide insight into portfolio risk. Manages engagements with internal and external information suppliers ensuring solution is fit for purpose while maintaining appropriate governance and oversight. Works with business, credit, data, and model development partners to design, develop, and monitor test designs and analytical reporting to track and enhance strategies. Designs / enhances standard reporting suites for regular product / portfolio reviews. Collaborates with the line of business, Finance, and Risk partners to assess and establish credit risk appetite and to understand its implications, as well as to establish policies and procedures governing the identification, monitoring, and management of risk appetite. PNC Employees take pride in our reputation and to continue building upon that we expect our employees to be: Customer Focused- Knowledgeable of the values and practices that align customer needs and satisfaction as primary considerations in all business decisions and able to leverage that information in creating customized customer solutions. Managing Risk
- Assessing and effectively managing all of the risks associated with their business objectives and activities to ensure they adhere to and support PNC's Enterprise Risk Management Framework.
- Financial Services, Risk Management Banking Work Experience Roles at this level typically require a university / college degree, with 3+ years of relevant / direct industry experience.
Language Assessments No Required or Preferred Language Assessments Pay Transparency Base Salary:
$86,250.00- $158,125.
- Data, Modeling & Analytics locations PA
- Pittsburgh (15222) time type Full time posted on Posted 10 Days Ago Portfolio Analytics & Strategy Analyst Senior
- Marketing & Customer Analytics locations PA
- Pittsburgh (15222) time type Full time posted on Posted 7 Days Ago View All 5 Jobs About Us For nearly 160 years, PNC has strived to make a meaningful impact for our employees, customers, communities, and shareholders.
Benefits
- Paid Time Off (PTO)
- 401(k) Plans
- Employee Stock Options (ESOs)
- Health and Wellness Programs