Senior CRE Portfolio Manager - Loans & Analysis

Provident Bank

New Jersey

On-site

USD 99,400 - 142,000

Full time

14 days+
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Benefits offered by this job

PTO and Holidays
Health and Wellness benefits
401(k) Retirement Plan
Disability Insurance
Employee Assistance Program
Tuition Disbursement
Loan Repayment programs
Supplemental Life Insurance
Accident Insurance
Critical Illness Insurance
Hospital Indemnity
Legal plans
Volunteer opportunities

Job summary

Provident Bank is seeking an experienced CRE Portfolio Manager in New Jersey to support multiple lenders, monitor maturities, covenant compliance, and financial performance of CRE loans, including construction and permanent mortgages.

You will prepare reviews, extensions, and detailed market analyses while engaging in borrower and guarantor assessments, risk rating, and documentation management.

Qualifications

  • Bachelor's degree in Finance, Accounting or Economics required.
  • 5–7 years’ work experience in all facets of commercial real estate within financial industry, with a strong concentration in Banking.
  • Strong comprehensive financial analysis skills/experience.
  • Ability to manage a commercial real estate portfolio and assist multiple lenders.

Responsibilities

  • Monitor maturities, past dues, and covenant compliance for the CRE portfolio.
  • Review and document financials, loan approvals, and loan documents.
  • Prepare Annual Reviews and short-term extensions for matured loans.
  • Conduct semi-annual construction reviews and assess project economics.

Skills

Financial analysis
Portfolio management
Communication
Analytical skills
Time management

Education

Bachelor's degree in Finance, Accounting or Economics

Tools

Argus
Excel
Word

Job description

Provident Bank is seeking an experienced CRE Portfolio Manager in New Jersey to support multiple lenders, monitor maturities, covenant compliance, and financial performance of CRE loans, including construction and permanent mortgages.

You will prepare reviews, extensions, and detailed market analyses while engaging in borrower and guarantor assessments, risk rating, and documentation management.

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