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Manager Business Planning and Analysis Portfolio Analytics

Toronto, Ontario, Canada

POSITION SUMMARY:

The Manager, Business Planning and Analysis, Portfolio Analytics is accountable for supporting the credit card business through analysis and segmentation development for campaigns, strategic analysis of internal and external data, and applying business knowledge to provide actionable insights and information to senior management.

Key accountabilities for this role:

  • Analysis related to business strategies and portfolio performance supporting the credit card business
  • Effective manipulation and calculation of data, which can be analyzed and turned into business information and presented to the incumbent's manager in order to move business results forward
  • Bridge the gap between technical processes in all areas: Product, Channels, Marketing, Risk and Finance
  • Effective and timely communication of strategic and operational results to the business teams
  • Work closely with the business areas to determine opportunity sizing of various initiatives
  • Work with Finance to develop P&L pro-forma, assess product profitability at the product, portfolio and customer level
  • Forecast drivers of campaign performance and develop P&L statements by offer and customer segment for each marketing campaign
  • Actualize campaign performance and reforecast future performance as part of a monthly planning process


QUALIFICATIONS:

  • 5+ years analytical experience required including statistical analysis
  • Must be proficient with MS Office, SAS, SQL and reporting tools
  • Proficient in the use of excel and building complex financial models
  • Strong communication skills essential with clients, vendors and management
  • 2+ years related experience in Marketing or Finance with P&L responsibility
  • Strong prioritizing, analytical, presentation, project management and planning skills

Preferred Qualifications:

  • 2+ years experience in credit cards
  • 2+ years experience in Risk Management

EDUCATION AND ACCREDITATIONS:

  • Bachelor's Degree in Computer Science, Finance, Economics or Statistics
  • MBA (Finance or Marketing) - preferred

OTHER INFORMATION:


The Scotiabank Group is an equal opportunity employer and welcomes applications from all interested parties. We thank you for your interest, however, only those candidates selected for an interview will be contacted. No agencies please.

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About
Risk Management Jobs

Scotiabank’s Risk Management professionals work in mitigating risk and exposure within the credit, securities and operational market by establishing credit policies and creating adjudication models for commercial and corporate banking.

Individuals in this field work in four areas: a) Credit Risk: corporate, commercial, real estate, international and consumer credit as well as special accounts management; b) Risk Policy: risk policy, operational risk and enterprise risk management and reporting; c) Ratings, Systems and Analytics: Basel, modeling analytics and internal ratings; d) Market Risk: interest rate and commodity, credit and equity derivative, hedge fund risk as well as asset liability management, international market risk and risk research and modeling.

Some job opportunities include: Sr. Manager, Credit Adjudication; Manager, Credit Adjudication; Analyst, Credit Adjudication; Analyst, Market Risk Management; Senior Manager, Market Risk Policy Analyst; Senior Manager, Interest and Commodities.