OneMain Financial Jobs

Job Information

Corporate One Federal Credit Union VP Portfolio Management in Columbus, Ohio

VP, Portfolio Manager

Location: Columbus, Ohio (occasional work from home) Compensation: $150,000 - $165,000, commensurate with experience and qualifications

Are you a strategic investment leader with deep expertise in capital markets, portfolio management, and asset/liability strategy? Corporate One is seeking a VP, Portfolio Manager to oversee investment activities, optimize portfolio performance, and drive organizational financial goals. This role is focused on fixed-income securities and interest-rate-related instruments (not equities), and plays a critical part in ensuring strong returns, liquidity, and margin performance through disciplined investment execution aligned with Board-approved strategies.

What You'll Do

  • Develop and execute investment strategies aligned to Board objectives and organizational risk appetite.
  • Manage Corporate One's investment portfolio---primarily fixed-income and interest-rate-sensitive instruments---to maximize returns while ensuring compliance with ALM, credit risk, and liquidity policies.
  • Monitor financial markets and leverage research to make timely, high-impact investment decisions that support net interest margin and organizational profitability.
  • Review ALM reports, portfolio performance, and market trends; present insights and recommendations to senior leadership.
  • Complete reporting requirements for executive leadership and regulatory agencies.
  • Support the SVP, Asset Liability Management, including serving as a backup when needed.
  • Represent Corporate One with chapters, boards, and credit union leaders, to deliver insights on economic trends, ALM strategies and investment solutions.
  • Initiate and oversee off-balance-sheet transactions while providing strategic investment recommendations.
  • Maintain strong relationships with brokers, vendors, and market partners to ensure best-execution outcomes.
  • Communicate complex fixed-income and ALM concepts to technical and non-technical audiences. 
  • Contribute to strategic projects, initiatives, and additional responsibilities as assigned.

This is an individual-contributor role with no direct reports; leadership is demonstrated through expertise, influence, and cross-functional collaboration.

* *

What We're Looking For

We are specifically seeking a seasoned professional with deep expertise in fixed-income securities and derivative instruments. This role does not involve equity or stock portfolio management.

  • Minimum of 10 years of progressive experience in capital markets and/or trading desk environments, with strong focus on fixed-income markets.
  • Minimum of 5 years of portfolio management experience involving fixed-income strategies, interest-rate analytics, and derivative usage.
  • Solid understanding of the credit union industry, balance sheet management, and regulatory requirements.
  • Exceptional analytical, organizational, communication, and decision-making skills.
  • Ability to evaluate market conditions, apply research insights, and make informed, timely investment decisions.
  • Ability to clearly communicate complex fixed-income and ALM concepts to diverse audiences.
  • Strong relationship-building skills with internal stakeholders and external market partners.

Qualifications

  • Bachelor's degree in finance, management, accounting, or related field---or equivalent combination of education and experience.
  • Proficiency with Bloomberg.
  • Experience with derivative products for hedging or portfolio positioning.
  • Experience with commercial lending is a plus but not required.
  • Proficiency with Microsoft Excel, Word, PowerPoint, and Outlook.

About Corporate O

DirectEmployers