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R2 is seeking a Portfolio Manager (IC4) to own the credit portfolio across high-ticket merchant credit in a fast-growing fintech. You’ll monitor vintages, losses, originations, and portfolio health, and you’ll work hands-on in SQL to extract and analyze data, turning findings into actionable decisions.
We value ~7 years in credit or lending, with underwriting experience at scale, strong SQL/Python, and comfort with data-driven risk management.
At R2, we believe that small and medium businesses are the productive engine of society. Small and medium businesses (SMBs) make up over 90% of companies in Latin America, yet they face a trillion-dollar credit gap. Our mission is to unlock SMBs' potential by providing financial solutions tailored to their needs. We are reimagining the financial infrastructure of Latin America, where SMBs' financial needs are met without ever having to go to a bank.
R2 enables platforms across Latin America to embed financial services that SMBs can leverage, starting with revenue-based financing. We are a high-performing, close-knit team with talent from organizations such as Google, Amazon, Nubank, Uber, Capital One, Mercado Libre, Globant, and J.P. Morgan.
We are entering a new phase of growth following a strategic investment from Ant International, focused on rapidly expanding our partner footprint, strengthening our credit and underwriting capabilities, and scaling operations across multiple markets. As part of this growth journey, eligible team members have the opportunity to participate in R2's Phantom Share Program, a performance-based incentive designed to align our team with the company’s long-term success and value creation. We believe in building a culture of ownership, where those who help create value share meaningfully in it.
R2 is scaling quickly, and we're looking for a Portfolio Manager (IC4) to own the credit portfolio: someone who builds a genuinely quantitative relationship with the business, tracks portfolio performance end-to-end, and can evaluate high-ticket merchant credit. We need someone who deeply understands portfolio economics, can pull and structure the data themselves, and knows how to read a portfolio and turn it into decisions. Mitigate risks and detect patterns in larger datasets.
Netherlands. Candidates based in Europe may also be considered.
Questions? Reach out at: people@r2capital.co