Senior Portfolio Analyst

Job ID
# of Openings
Portfolio Management


The Senior Portfolio Management Analyst performs a first line function and will be responsible for analysis, monitoring and reporting on the risks of the Arch mortgage insurance portfolio to facilitate management decisions. She or he will analyze portfolio trends across various dimensions, identify new areas for risk research and effectively communicate issues and opportunities to upper management. The incumbent will also provide monthly investor remittance reporting and analysis for company issued insurance-linked notes. The position is located in our Greensboro, NC office.



Arch MI is a new and growing mortgage insurance company with a strong and global parent – Arch Capital Group Ltd.  If you’re interested in joining a dynamic company and working with a team of motivated, high caliber people, apply today and come grow with us!


Responsible for Monthly portfolio analysis and reporting functions. Creates reports to assess loan origination and performance trends and evaluates Arch’s MI risk/return profile.


Performs research and analysis for new products and underwriting risk management initiatives, and makes recommendations on business opportunities.


Identifies and investigates impacts of market and loan risk factors, such as regional economic indicators, competitive intelligence and housing policy changes.  


Develops analytical tools and models to measure customer and program risk, detect those performing outside established parameters, and recommends solutions.


Makes recommendations upon fact-based analysis using internal and external data sources.


Creates portfolio review presentations to effectively communicate portfolio issues to customers and management.


Develops and maintains new quantitative methodologies, databases and reporting systems to enhance portfolio management capabilities.


Provides investor remittance reporting and analysis for insurance-linked notes.


Manipulates large internal and external datasets using SAS, Excel, SQL to achieve those tasks.




Knowledge & Skills:

  1. Advanced knowledge of quantitative methods, financial and statistical analysis, techniques, and practices.
  2. Strong critical thinking and independent problem solving skills, and a sense of urgency in delivering results.
  3. Excellent data manipulation and analytical skills with investigative mindset and attention to detail.
  4. Highly proficient with SAS and Excel. SQL Knowledge and VBA is a plus.
  5. Demonstrated ability to multi-task and respond to changing priorities.
  6. Strong interpersonal and communication skills with the ability to deal effectively with both technical and non-technical contacts.



Education & Experience:


Relevant experience in mortgage, insurance or financial services analytical support, 5-7 years of experience.


Master’s degree, or equivalent experience, in a quantitative discipline such as economics, statistics, mathematics or finance/business preferred.  



About Our Company

Arch Mortgage Insurance Company is the flagship U.S.-based mortgage insurer of Arch Capital Group Ltd., a leading insurance and reinsurance company operating through its subsidiaries worldwide. Based in Greensboro, North Carolina, our company is committed to our employees and our customers.  Our Total Rewards package offers competitive pay and valuable benefits.  Plus you’ll have access to a variety of programs supporting your professional development and a culture that encourages innovation, collaboration and professional growth.


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