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Finance of America
VP, Portfolio ManagementFinance of America • Saint Paul, Minnesota, United States
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VP, Portfolio Management

VP, Portfolio Management

Finance of America • Saint Paul, Minnesota, United States
30+ days ago
Salary
$200,000.00 yearly
Job type
  • Full-time
Job description

Job Details

Description

About Us

Finance of America helps homeowners 55+ access the equity they’ve built while staying in full control of their home and their financial future. Through a range of reverse mortgage solutions, we help customers shape the retirement they’ve earned while continuing to evolve how we serve and work together.

Joining Finance of America now means stepping into a period of momentum and growth, with teams actively shaping what comes next and opportunities to make an impact and grow your career.

To learn more about us, visit www.financeofamerica.com

Purpose of Role

Responsible for managing a team of Portfolio Analysts focused on monitoring portfolio performance, managing market and financing risks, reporting on portfolio P&L and building analytical tools to conduct daily business. Primary products will be HECM buyouts, HECM MSR, and HomeSafe loans. Also responsible to conduct market research and analysis to identify strategic opportunities to maximize portfolio returns.

Key Responsibilities and Expectations

  • Manages HECM buyout securitizations by working closely with the rating agencies and dealers, focusing to optimize the balance sheet risk related to current and future HECM buyouts.
  • Engages in HECM MSR pricing activities and monitors the pricing decisions for new HECM loans.
  • Works closely with the Capital Markets team around the execution of HMBS trades.
  • Works closely with the Valuation and Analytics team regarding model performance and forecasting assumptions and align cash flow forecasts within GAAP models.
  • Advises on key risks for HomeSafe, notably the home price forecast impacts to the existing portfolio risk.
  • Develops or utilizes third-party home price indices to generate geography specific pricing adjustments for HomeSafe program.
  • Directs a team of Portfolio Analysts to monitor portfolio performance and risks by applying financial metrics and risk models to identify and mitigate potential threats to returns.
  • Builds analytical tools by developing financial models, automating data visualization, and integrating technology to enhance portfolio analysis and decision-making.
  • Manages hedging and P&L optimization by assessing market data, adjusting risk exposure, and implementing portfolio strategies to improve financial outcomes.
  • Remains abreast of industry trends, products, best practices, technologies, competitive landscape, and legal and regulatory changes to modify strategic plans and improve legal and regulatory compliance.
  • Performs other duties as assigned.

Reports To

  • SVP, RVA

Direct Reports

  • 3-5 Portfolio Analyst II

Qualifications - Experience/Skills/Competencies

  • Minimum 8 years of experience working developing and updating financial models, preferably for a financial services or mortgage lending organization.
  • Strong understanding of financial markets and economic indicators, with strong analytical and critical thinking skills.
  • Financial modeling and data analysis abilities.
  • High aptitude for learning new forms of technology and tools.
  • Ability to make informed decisions, even when faced with ambiguity.
  • Excellent verbal and written communication skills.
  • Highly proficient with Microsoft Word, Excel, PowerPoint and Outlook.
  • Detail oriented and focused.

Qualifications - Education - Required

  • Bachelor's Degree

Qualifications - Education - Field(s)/Profession(s)

  • Economics, Mathematics, Statistics, or related.

Compensation

The base salary range for this position is ($200,000 - $220,000) inclusive of all geographical differences in the labor market. The base salary for the position will be determined based on factors such as the candidate’s work location, skills, education, and experience. In addition to those factors, we believe in the importance of pay equity and consider the internal equity of our current team members in determining any final offer. We offer a competitive benefits package including health, dental, vision, life insurance, paid time-off benefits, flexible spending account, 401(k) with employer match, and ESPP.

Additional Information

The application deadline for the job opportunity is 5/1/2026.

The above statements are intended to describe the general nature and level of work being performed by people assigned to this classification. They are not to be construed as an exhaustive list of all responsibilities, duties, and skills required of personnel so classified.

Finance of America is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, sex (including pregnancy), sexual orientation, religion, creed, age, national origin, physical or mental disability, gender identity and/or expression, marital status, veteran status or other characteristics protected by law.

Qualifications

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Equal Opportunity Employer
This employer is required to notify all applicants of their rights pursuant to federal employment laws. For further information, please review the Know Your Rights notice from the Department of Labor.

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VP, Portfolio Management • Saint Paul, Minnesota, United States

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