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Sr. Portfolio Manager Resume

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AREAS OF EXPERTISE:

  • Loan Production / Origination
  • Foreclosures / Collections
  • Default Management Reviews
  • Mergers and Acquisitions
  • Secondary Marketing
  • Risk Management
  • Confidential Underwriting
  • Affordable Housing Multifamily
  • Loan Modifications
  • Relationship Management
  • Short Sales
  • REO Disposition
  • Legacy Asset Reviews
  • Residential Underwriting
  • Commercial Underwriting
  • Claim Review
  • Document Delivery Reviews
  • CFPB Regulations
  • Quality Control Audits
  • Fraud Detection
  • Regulatory Compliance
  • Post - Closing Reviews
  • Evaluate Credit Risk
  • DIL
  • Manage Audits & Q.C.
  • Portfolio Value Analysis

PROFESSIONAL EXPERIENCE:

Confidential

Sr. Portfolio Manager

Responsibilities:

  • Relationship Manager for some of Confidential Servicing Customers,
  • Successfully disposed of non-performing assets by assisting clients with NPL sale preparation, creating P&P’s that meet CFPB and FHFA requirements,
  • Confidential Reporting procedures, system enhancement requirements and familiarization with Confidential Seller/Servicer Guidelines.
  • Held non-performing loan reviews, negotiating short sales and DIL’s, on-site meetings with Sr. Management and front-line servicing and default personnel.
  • Recognized with several Confidential “All-In Awards” for internal and external performance management excellence.

Confidential

Front Line Contract Underwriter

Responsibilities:

  • Confidential underwriter on closed loan files from various lenders for compliance with lender and investor guidelines and government regulations.
  • Conforming, jumbo, Alt A, sub-prime and scratch and dent loan reviews.
  • Other duties performed include fraud investigation, clearing conditions, reviewing payment histories, collateral scrubs and doing quality control reviews.

Confidential, Irvine, CA

Quality Assurance and Broker

Responsibilities:

  • Provided leadership and direction to management team and front-line associates.
  • Communicated with investor Confidential teams and directed Confidential manager and staff.
  • Directed compliance team for Investor Relations and Quality Assurance Departments.
  • Oversee monthly production of Quality Control Audit Departments in Irvine Corporate and Chicago.
  • Developed and provided meaningful reports to senior management, investors, Capital Markets Group and regulatory/rating agencies.
  • Successfully created policies and procedures, workflow matrixes in production, operations, secondary marketing and loan servicing to manage investor sales exceeding $44 billion in 2004.
  • Instrumental in Corporate Division being recognized as #1 seller of non-conforming loans worldwide.
  • Consistently achieved 97% execution level in loan sales.
  • Created the call center in Chicago that enhanced customer service and facilitated Argent’s Broker/Vendor Management Division.
  • Developed LDDR Division (Loan Document Delivery Review) to scrub loan files, which expedited investors’ reviews and promoted investor compliance.
  • Successfully passed every SOX Examination or Internal Audit for each division under my direction.

Confidential, Antelope Valley, CA

Loan Officer, Operations Manager

Responsibilities:

  • Maintained personal production levels and created a more efficient operation for the Antelope Valley net branch located in Lancaster, CA.

Confidential, Encino, CA

Chief Operations Officer

Responsibilities:

  • Directed all aspects of sales and production operations for company owners including processing, underwriting, closing, shipping, sales, human resources, accounting and facilities.
  • Managed over 300 Realtor relationships in our Confidential and Net Branch Operations.
  • Successfully started Skyline’s Banking and Warehouse Lending Operation.
  • Converted from DRE designation to DOC and completed the Freddie Mac Seller Approval.

Confidential, Sherman Oaks, CA & Vienna, VA

Vice President

Responsibilities:

  • Directed all RTC activities, i.e., contracts/bids as well as servicing and file audits.
  • Directed all activities for FDIC examinations and purchasing of seized assets.
  • Managed risks associated with purchase, sales and servicing of commercial and multifamily loans.
  • Investor reporting responsibilities. Directed creation of the Division from start-up through operation.
  • Interfaced with legal team representing investors to create contracts that mitigated risk.
  • Directed the purchase of life insurance and small multifamily companies from data mapping phase to complete turnover.

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