Client Relations Manager (Repost)
Los Angeles, California, United States, Phoenix, Arizona, United States
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Company Overview
Arixa Capital is a leading private real estate lender and alternative investment manager with over $8 billion in originations completed since inception and a servicing portfolio exceeding $2.5 billion as of June 30, 2026.
We’re more than a lender. Our vertically integrated platform allows us to manage every step of the loan process in-house, ensuring speed, reliability, and an exceptional experience for our clients. Backed by a substantial balance sheet, top-tier institutional partners, and a talented operations team, we’re positioned for continued growth and innovation.
At Arixa, our culture is one of our strongest assets. We foster a positive, collaborative, and high-performing environment where team members are empowered to grow, take ownership, and make an impact. Our team thrives on solving problems, celebrating wins, and driving results—together.
We’ve been named to the Inc. 5000* list of fastest-growing private companies for three years running, and we’re just getting started.
*Arixa provided Inc. de minimis compensation to be considered for the Inc. 5000 list of the fastest growing private companies in the U.S. For a full description of ranking methodology, please visit:
https://www.inc.com/inc-5000-methodology-how-we-selected-these-companies.html
Position Overview
We are seeking a Director, Portfolio Management, to develop a forward-looking view of portfolio performance across Arixa Capital’s investment funds. The Director will translate loan-level performance into fund-level implications for returns, liquidity, leverage, portfolio construction, and investor distributions. The role will support management decisions through portfolio analysis, forecasting, scenario analysis, and loan allocation. This role does not directly manage loan workouts or negotiate financing facilities.
Summary of Primary Duties and Responsibilities
The Director, Portfolio Management is an LA-based or AZ-based position on a hybrid schedule with at least three (3) days in-office. This position will report to the Chief Financial Officer. While not an exhaustive list, the Director, Portfolio Management will have the following responsibilities:
Portfolio Performance & Risk
Fund Returns, Forecasting & Scenario Analysis
Portfolio Construction, Allocation & Liquidity
Monitoring, Reporting & Partnership
Preferred Qualifications
Key Attributes for Success
The ideal candidate can move comfortably between individual loan performance and the broader economics of an investment fund. They are analytical, commercially minded, comfortable challenging assumptions, and able to identify changes in expected portfolio performance before they are fully reflected in reported fund results.
Compensation
This position is exempt, full-time, with salary range: $165K - $200K, plus discretionary bonus potential.
Benefits
This position is eligible for the following benefits:
Note: This is not an all-inclusive list. The Director, Portfolio Management will be involved and participate in related business matters and duties as assigned. Arixa is an ‘at-will’ employer.
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