Portfolio Manager, Risk Capital

Upstart

Confirmed live yesterday High trust
Remote

Quick summary

Work type
Remote
Location
Canada
Salary
$133,400–$212,300 / yr
Posted
71 days ago
Freshness
Confirmed live yesterday
Closes
Dec 8, 2026

Market check

Salary context

Below market

How this pay compares to similar roles

Similar $195k
This role $173k
$122k most similar roles pay here $242k

This role pays less than 67% of similar roles. Most pay $160,875–$229,975 — the shaded band above. At the midpoint, this role pays about $173k versus about $195k for comparable roles.

Based on 239 similar postings.

Employer

About Upstart

Upstart is an AI lending platform that partners with banks and credit unions to expand access to affordable credit using non-traditional variables.

Upstart currently has 73 open roles on FindRole.

Listed pay typically runs $166,900–$230,450 across 72 roles with salary data.

Most-posted roles

View all roles at Upstart

At a glance

TL;DR · Portfolio Manager, Risk Capital

Portfolio Manager, Risk Capital joins the Risk Capital team to manage a large book of co-investments with funding partners. This role involves overseeing investment performance, valuation, and risk while executing month-end reporting and settlement processes for each deal. The manager will lead an automation roadmap using AI enablement to scale operations and mentor two junior analysts on modeling and financial judgment. Key responsibilities include collaborating across Capital Markets, Accounting, and Treasury departments to manage investor relationships and complex deal structures. Candidates should possess a quantitative background in finance or engineering and have experience in investment management or structured finance. Required technical skills include building and auditing financial models in spreadsheets and querying data with SQL. Preferred qualifications include proficiency in Python, experience with marketplace lending products, and the ability to communicate complex figures clearly to senior leadership.

What you'll do

  • Manage the end-to-end monthly process for investment performance reporting and settlements.
  • Calculate and reconcile amounts owed between Upstart and investors to facilitate monthly settlements.
  • Monitor portfolio performance, value, and risk while reporting key metrics to leadership.
  • Collaborate with internal teams to onboard new deals and address investor inquiries regarding performance.
  • Lead the automation roadmap to modernize workflows using AI tools and technology.
  • Mentor two junior analysts on financial modeling, data analysis, and professional judgment.

What we're looking for

  • Bachelor’s degree in finance, economics, mathematics, engineering, or a related quantitative field.
  • 5+ years of experience in investment management, portfolio management, structured finance, or capital markets.
  • Experience building and auditing cash-flow or financial models in spreadsheets.
  • Experience querying and analyzing data with SQL or a comparable query language.
  • Proficiency with Python and hands-on use of AI tools to automate analysis, modeling, or reporting.
  • Experience with consumer loans, asset-backed investments, or marketplace lending.
  • Experience supporting investor relationships, settlements, or reporting for institutional investors.
  • Ability to explain complex deals and numbers in plain language for senior leaders and investors.

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