Portfolio Manager - Brocc

WePlace Sweden

Stockholms kommun

On-site

SEK 900,000 - 1,200,000

Full time

2 days ago
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Job summary

Brocc is a specialized niche bank on an ambitious growth journey. We are seeking an analytically strong Portfolio Manager to take responsibility for Brocc's Nordic NPL portfolios, at the intersection of debt investing, portfolio management and quantitative analysis, with substantial ownership in a growing business area.

You will monitor portfolios, analyse performance and collaborate with external Loan Servicing Partners, Finance and Treasury to drive value and improvements across the Nordic

Qualifications

  • Strong quantitative and financial analysis skills.
  • Understanding of credit investments or portfolio analysis.
  • Curious, problem-solving mindset focused on drivers of performance.
  • Collaborative and pragmatic approach with internal and external stakeholders.
  • High ownership and adaptability in an evolving, entrepreneurial environment.
  • Excellent written and verbal communication in Swedish and English.

Responsibilities

  • Monitor and analyze Nordic acquired NPL portfolios, focusing on performance, cash flows and long-term value creation.
  • Evaluate and manage Loan Servicing Partners, including repayment plans and settlements.
  • Assist onboarding of new portfolios and contribute to due diligence for acquisitions.
  • Collaborate with Finance and Treasury on forecasting, provisions and valuations.
  • Work cross-functionally with Legal and Compliance to improve processes as the business grows.

Skills

Quantitative analysis
Financial analysis
Stakeholder engagement
Ownership mindset
Problem solving
English and Swedish communication

Job description

Brocc is a specialized niche bank on an ambitious growth journey, backed by strong institutional investors and a clear strategic vision. Combining deep expertise in consumer finance with technology and NPL acquisition and restructuring, Brocc is building a leading debt finance platform across the European credit market.

Now, we're looking for an analytically strong Portfolio Manager to take responsibility for Brocc's Nordic NPL portfolios. Therole offers an opportunity to work at the intersection of debt investing, portfolio management and quantitative analysis, with significant ownership in a growing business area.

We're looking for someone who enjoys getting into the details of complex portfolios and understanding what drives performance, while also thriving in a collaborative environment with a broad range of internal and external stakeholders.

What you'll do

You’ll be responsible for monitoring and analysing Brocc's acquired NPL portfolios across the Nordic market, with a focus on portfolio performance, cash flows and long-term value creation.

A key part of the role is working closely with external Loan Servicing Partners, analysing performance against business plans and identifying actions to improve portfolio outcomes.

In practice, that means:

  • Monitoring and analysing Nordic credit portfolios, including KPIs, cash flows, performance against business plans and underlying value drivers.
  • Managing and evaluating Loan Servicing Partners, including repayment plans and proposed settlements.
  • Supporting the onboarding of newly acquired portfolios and contributing to due diligence for new acquisitions.
  • Working closely with Finance and Treasury on forecasting, provisions and portfolio valuations.
  • Collaborating across functions, including Legal and Compliance, and continuously improving processes as the business grows.
Who you are

You have a few years of relevant professional experience and a strong analytical foundation. Your background could be as a Portfolio Analyst, Investment Analyst, or in a similar analytically focused role within banking, credit, investments, fintech or a related field.

You combine quantitative skills with strong interpersonal capabilities. You're comfortable working with complex financial data, but equally confident engaging with stakeholders, challenging assumptions and turning analysis into clear actions.

We believe you bring:

  • Strong quantitative and financial analysis skills, with experience working with financial data.
  • An understanding of credit investments, portfolio analysis or related areas.
  • A curious and problem-solving mindset, with an interest in understanding the drivers behind portfolio performance.
  • A collaborative and pragmatic approach, with the ability to build strong internal and external relationships.
  • A high level of ownership and the ability to thrive in an evolving, entrepreneurial environment.
  • Excellent written and verbal communication skills in Swedish and English.
Why Brocc?

Brocc is a ~80-person team backed by Cerberus Capital Management, operating at the forefront of Nordic consumer finance. You'll join at a pivotal stage of the company's growth, with ownership of the Nordic portfolios and direct visibility to senior leadership.

The role combines investments, portfolio management and quantitative analysis, while giving you the opportunity to make a tangible impact as Brocc continues to grow its NPL business.

Application

For questions about the role or recruitment process, please contact the responsible recruiter, Julia Wadeskog, at julia@weplace.se or +46 72 855 55 75.

Please note that, due to GDPR regulations, we are unable to accept applications via email.

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