Join to apply for the Portfolio & Change Manager role at Barclays Business Banking
As a Portfolio & Change Manager, you will support product teams with data-led analysis for optimization, including managing back-book securitisations to enhance risk and return profiles. This role is within the Portfolio Management Unit and involves analyzing the product lifecycle, cashflow modeling, and supporting securitisation deals to improve Barclays' balance sheet.
There are two roles, with allocation based on expertise: one requires knowledge of unsecured lending (credit cards, loans), and the other includes unsecured or secured lending.
To succeed, you should have experience with:
* Stakeholder management at all levels
* Knowledge of secured and unsecured lending (mortgages, credit cards)
* Data analytics and business modeling skills
* Ability to connect product actions to profitability and risk
* Understanding of asset and securitisation accounting
* Change management and agile project execution
Preferred skills include cross-departmental collaboration, risk understanding, and process simplification mindset.
This role can be based in London or Northampton.
The purpose is to drive success in the commercial banking segment through market analysis, product development, sales, risk management, and performance monitoring.
Accountabilities include market research, developing pricing models, managing innovative financial solutions, forging strategic partnerships, stakeholder management, sales strategy development, and performance monitoring.
Expectations for Vice Presidents include advising stakeholders, risk mitigation, demonstrating leadership, understanding organizational functions, building relationships, and developing innovative solutions through analytical thinking.
All colleagues should embody Barclays' values and mindset.
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