Closing Date (MM/DD/YYYY):
10/26/2026
Worker Type:
Permanent
Language(s) Required:
English
Term Duration (in months):
Salary Range (plus eligible to receive a performance based incentive, applicable to position) :
$122,940 - $166,330
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How you’ll make an impact
Leverage your expertise in credit portfolio risk management, risk measurement, reporting and analytics to lead a team responsible for identifying, measuring, monitoring and reporting on the health, performance and risks of FCC’s lending portfolio.
As a Manager, Credit Portfolio Management, you’ll provide insights, data and analytics to senior leaders and committees to support informed decision-making. You’ll lead reporting processes, interpret portfolio trends, support risk mitigation activities and communicate meaningful insights about loan portfolio health.
If you’re a confident communicator, critical thinker and proven leader who is motivated by helping guide strategic decisions in a fast-paced and collaborative environment, this might be the role for you.
What you’ll do
- Lead the preparation and distribution of portfolio management reports for senior leaders and the Board of Directors
- Measure and report against risk appetite, policy limits and operational thresholds, providing interpretation and guidance on portfolio health
- Provide insights, data and analytics to senior leaders and committees to support decision-making
- Lead research and analysis on internal and external credit portfolio management issues and trends, including developments in the agriculture and food industry
- Support the use of risk mitigation tools through process management, monitoring, reporting and due diligence activities
- Build and maintain relationships with key stakeholders
- Lead, coach and develop a high-performing team
What you’ll bring to the team
Required qualifications:
- A degree in business administration, mathematics, statistics or a related discipline
- Minimum seven years of experience in credit portfolio management, risk management, portfolio analysis or a related field (or an equivalent combination of education and experience)
- Extensive knowledge of loan portfolio management reporting and analysis techniques, loan and lease products and policies, and reporting systems
- Proven expertise in risk measurement processes, including allowance for credit losses, capital measurement and stress testing
- Demonstrated proficiency with data, analytics and reporting concepts, principles and systems
- Strong understanding of agriculture finance, the agriculture industry and the broader economic and legislative environment
Preferred qualifications:
- Professional designation such as CFA, CA or CPA
- Experience in agriculture, business economics or finance
- Experience leading and developing high-performing teams
Not sure you meet every requirement? We encourage you to apply anyway.
Not sure you meet every requirement? We encourage you to apply anyway.