At PNC, our people are our greatest differentiator and competitive advantage in the markets we serve. We are all united in delivering the best experience for our customers. We work together each day to foster an inclusive workplace culture where all of our employees feel respected, valued and have an opportunity to contribute to the company’s success. As a Portfolio Analytics & Strategy Specialist within PNC's Balance Sheet Analytics & Modeling Credit Portfolio Management organization, you will be based in Denver, CO. At a high-level, this role requires an adept understanding of data analytics, risk management, and strategic decision-making. Role Overview: - Responsible for developing subject matter expertise for your assigned industries. - Perform research, analytics and assessment of risks stemming from assigned industries that may impact PNC’s Commercial & Industrial portfolio. - Responsible for developing risk management and grow strategies based around commercial risk/return metrics. - Collaborate with cross-functional teams, including credit risk management, finance, operations, and model development, to ensure alignment and execution of strategic initiatives. This position primarily supports PNC’s C&IB business in the first line as well as credit partners in the second line. This role may require a combination of python coding skills, financial reporting and analysis, proficiency with Tableau and a foundational understanding of the commercial business and metrics. You will also rely on strong communication skills to share complex analytical results with non-technical audiences. PNC's commitment to leadership in risk management means you will always be at the leading edge of bank technology and techniques. All the while, you'll benefit from access to senior professionals within the field in a friendly, open, and engaging environment.
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Job Type
Full-time
Career Level
Mid Level