Sr Commercial Portfolio Manager - Huntington Technology Finance (Underwriter)

Huntington National Bank•Minnetonka, MN
•Onsite

About The Position

This position can be located at any Huntington corporate office. The Senior Commercial Portfolio Manager – Technology Finance underwrites credit exposure for large, complex customer relationships and circumstances. Includes day-to-day interaction with assigned Sales Reps, management of portfolio risk, and adherence to all regulatory and compliance guidelines. A critical component of this role is early identification of emerging credit problems and industry trends.

Requirements

  • Bachelor's Degree in Accounting, Finance, or related field.
  • 5+ years of experience in commercial credit analysis.

Nice To Haves

  • Experience conducting cash flow analysis for large, complex publicly traded companies.
  • Intermediate proficiency with MS Office Desktop applications.
  • Proficiency with Moody’s spreading software.
  • Previous equipment finance underwriting experience.
  • Strong interpersonal skills and solid written/verbal communication.
  • Ability to prioritize workflow and multi-task in a fast-paced environment.
  • Strong interpersonal skills and solid written/verbal communication.
  • RMA-CRC designation.
  • CLFP designation.

Responsibilities

  • Services, deepens, and retains assigned profitable customer relationships by pro-actively evaluating and mitigating associated business risks and opportunities, per established Huntington policies, procedures, and Guiding Principles.
  • Owns primary responsibility for the credit and monitoring of Commercial portfolio risks.
  • Responsible for underwriting quality, portfolio administration, and credit quality of assigned portfolio working directly with the Team Leader and Regional Credit Officer.
  • Underwrites complex and large credit requests for prospects and clients.
  • Possesses a mastery of client and industry expertise, analyzes company performance and the impact of industry and competitive dynamics and macroeconomic events on the creditworthiness of prospects and clients.
  • Accountable for risk evaluation and associated regulatory compliance requirements.
  • Provides independent, in-depth analysis of financial statements, projections, and business plans; identifies and mitigates key risks.
  • Accountable for and manages assigned portfolio by monitoring performance and trends, identifying issues, and following through for remediation.
  • Responsible for financial statement spreading, risk rating integrity, compliance, and regulatory review.
  • Responsible for maintaining an extensive level of knowledge of corporate banking, investment banking, and commercial banking solutions, in addition to market trends and business drivers.
  • Understands and articulates industry trends, patterns in the economy, and the implications thereof, and proactively shares information across the organization.
  • Mentor Credit Analysts and junior-level Portfolio Managers.
  • Performs other duties as assigned.

Benefits

  • health insurance coverage
  • wellness program
  • life and disability insurance
  • retirement savings plan
  • paid leave programs
  • paid holidays
  • paid time off (PTO)
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