Manager, Structured Finance Portfolio Management at PayPal
New York, New York, United States -
Full Time


Start Date

Immediate

Expiry Date

20 Feb, 26

Salary

0.0

Posted On

22 Nov, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Structured Finance, Portfolio Management, Financial Analysis, Credit Portfolio Optimization, Transaction Execution, Governance, Market Intelligence, Valuation, Operational Risk, Regulatory Engagements, Stakeholder Management, Excel, VBA, Python, SQL, US GAAP

Industry

Software Development

Description
Develop and articulate clear plans to optimize the credit portfolio and meet team performance Perform more-complex financial objectives highly specialized domain knowledge and advanced business expertise Lead some lending activities that align with it's financial objectives and may coordinate activities of others Design credit portfolios for long-term financial success understanding of business needs and industry trends Determine methods and procedures on new assignments that may impact activities of others Transaction Execution & Governance - Partner with Capital Markets to lead internally-facing activities related to new issuances, extensions and upsizes; coordinate due-diligence streams, first-/second-line approvals, documentation, and key governance activities Post-Execution Portfolio Management - Own weekly/monthly performance reporting, trigger monitoring and incident resolution to preserve balance-sheet resilience. Market Intelligence & Valuation - Monitor primary/secondary markets, agency reports, and sell-side color to value portfolios and advise on pricing, structure, and investor appetite. Process Scalability & Control - Design frameworks that ensure the future scalability of the capital markets platform by automating low-leverage tasks, retiring legacy pain points, and driving operational control standards. 5+ years relevant experience and a Bachelor's degree OR Any equivalent combination of education and experience. Experience in asset-backed finance/ABS, or working knowledge in an adjacent structured finance domain (e.g. private credit, infrastructure, DCM). Corporate strategy experience may also be suitable. Comfort translating financial analysis into narrative for consumption by senior management. Ability to interpret and sensitize financial models. Ability to interpret transaction legal docs. Track record managing post-execution credit portfolios, operational risk, and regulatory engagements within a banking, asset manager, corporate treasury or fintech environment. Advanced Excel (VBA, Python or SQL a plus). Strong stakeholder-management skills spanning investors, banks, and internal stakeholders. High self-direction and bias for process improvement; commitment to responsible AI adoption and continuous learning. Some experience of US GAAP and/or IFRS three-statement analysis
Responsibilities
The manager will develop plans to optimize the credit portfolio and lead lending activities aligned with financial objectives. They will also manage post-execution portfolio performance and design frameworks for process scalability.
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