Collections Portfolio Managers

AI overview

Own and optimize the recovery strategy for Bondora's non-performing loan portfolio, contributing to forecasting accuracy and long-term profitability in a cross-functional role.

At Bondora, our mission is clear: to empower people to enjoy life more while alleviating the stress of managing finances. Founded in 2008, Bondora has proudly served a diverse community of over 1 million customers for an impressive 16 years.

As a rapidly growing financial technology company, we’re reaching new heights with a bold vision. We’re set to acquire a banking license, unlocking a world of possibilities for our customers. Our investment product is available Europe-wide, and we’re actively expanding our loan product footprint to 11 new countries.

Join us on this journey and let’s build the future of finance together!

What is this role about?

As the Collections Portfolio Manager at Bondora, you will own the performance, modelling, and strategic steering of our non performing loan portfolio. Your mission is to ensure recovery curves, LGD models, and segmentation frameworks accurately reflect real portfolio behaviour and provide reliable insights for provisioning, pricing, and credit strategy.

This is a high impact analytical and cross functional role. You will work at the intersection of Credit Risk, Finance, and Collections, ensuring alignment between operational recovery actions and portfolio level loss forecasting. Your work will directly influence ECL accuracy, recovery optimisation, and long term portfolio profitability.

  • Own and continuously improve recovery curves and analyse cure rates, roll transitions, and cashflow timing across products and markets.
  • Lead LGD methodologies and ensure alignment with IFRS9 and ECL requirements in collaboration with Credit Risk and Finance.
  • Develop and optimise behavioural segmentation strategies for Collections and Recovery to maximise lifetime recoveries.
  • Ensure correct interpretation of default, forbearance, curing, and staging rules in models and portfolio analytics.
  • Act as the bridge between Loan Servicing and Credit, translating recovery behaviour into actionable insights for underwriting, pricing, and risk appetite.
  • Deliver clear portfolio insights and forecast updates to leadership, highlighting risks, deviations, and improvement opportunities.

What would ensure success in this role?

Success in this role is determined by analytical expertise, process oversight, and data accuracy management.

The ideal candidate will have:

  • Strong understanding of NPL portfolio dynamics, recovery modelling, and LGD methodologies within a regulated lending environment.
  • Solid knowledge of IFRS9 and ECL frameworks, including staging and default definitions.
  • Experience analysing roll rates, cure behaviour, cashflow timing, and long tail recoveries.
  • Ability to design and evaluate behavioural segmentation strategies for collections and recovery.
  • Strong analytical skills with confidence in working with large datasets and translating insights into strategic actions.
  • Experience collaborating cross functionally with Credit Risk, Finance, and Operations.
  • Ability to clearly communicate complex modelling logic and assumptions to non technical stakeholders.

This role is opened in Estonia or Latvia and requires on-site team collaboration. We do not offer relocation package or fully-remote set up. 

What can you expect at Bondora? 

  • Contribute to Bondora’s ambitious goal of reaching 1BN in revenue. Your skills and efforts will directly impact our growth trajectory and shape the future of our company.
  • Our employees deserve the best. We recognize our people with a competitive salary and a generous benefits package (5 weeks of vacation, private healthcare compensation, hobby grant, mental healthcare support, share options and much more!)
  • We provide an environment that encourages your personal and professional growth. As we constantly evolve and innovate, you’ll have endless opportunities (and budget) to expand your skills and skyrocket your career.

The next steps

If you have the guts, ideas, and a team vision, apply now! 

Our hiring process: 

  • Meet Iryna, our Recruiter: Your first interview with Iryna will give you the chance to share your experiences and aspirations. 
  • Collaborate with Juris, our Chief Risk Office. 
  • Put your skills to the test: Tackle a home task related to debt collection portfolio management. 
  • Engage with Juris gain to discuss your case study
  • Assessments: Complete our personality and logic assessments to showcase your strengths. 
  • Meet Kateryna, our Credit Portfolio Manager
  • The celebration begins: If the stars align, receive an offer to join the Bondora team! 

 

Join our team of Bondorians, and let's make it happen!

If you'd like to read how Bondora collects, uses, and protects your personal data during recruitment, please see here.

Perks & Benefits Extracted with AI

  • Health Insurance: private healthcare compensation
  • Hobby grant and mental healthcare support: hobby grant, mental healthcare support, share options and much more
  • Paid Time Off: 5 weeks of vacation

  Welcome to Bondora’s job board!At Bondora, our mission is clear: to empower people to enjoy life more, all while alleviating the stress of managing finances. With a foundation laid in 2008, proudly serving a diverse community of over 1 million customers for an impressive 15 years. Working at Bondora offers rewarding but challenging work, excellent salaries, and a flexible work environment to the epic people we call our colleagues. Check out #lifeatbondora on LinkedIn and Instagram to learn more about what it's like to work with us.Join us on this journey of building the future of finance together and apply for a role below!

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