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HomeCompaniesFa Exvu Saasfaprod1 Fa Ocs Oraclecloud Com CX 1Risk Analyst II - Portfolio Forecasting

Risk Analyst II - Portfolio Forecasting

Fa Exvu Saasfaprod1 Fa Ocs Oraclecloud Com CX 1 · Fort Worth, TX, United States; US - Burnett, TX, Fort Worth, TX, US · Hybrid · Active · Oracle Recruiting Cloud / Fusion HCM

Job facts

FieldValue
CompanyFa Exvu Saasfaprod1 Fa Ocs Oraclecloud Com CX 1
TitleRisk Analyst II - Portfolio Forecasting
Normalized title-
Department / teamLegal, Compliance and Risk
LocationFort Worth, TX, United States
Work modelHybrid / Hybrid
Employment typeFull Time
Salary-
Statusactive
ATS providerOracle Recruiting Cloud / Fusion HCM
Posted / first seen2026-04-07 / 2026-05-31
Changed / last seen2026-05-31 / 2026-06-06

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PageWhat it containsOpen
Company jobsActive postings from Fa Exvu Saasfaprod1 Fa Ocs Oraclecloud Com CX 1.Open
Company breakdownsRole, location, ATS, and work model facets for this company.Open
ATS provider jobsActive postings observed through Oracle Recruiting Cloud / Fusion HCM.Open
Provider filtered searchThe same provider as a filtered job collection.Open
City jobsActive postings in Fort Worth.Open
Department jobsActive postings in Legal, Compliance and Risk.Open
Work model jobsActive Hybrid postings.Open
Lifecycle eventsOpen, update, close, and reopen events for this posting.Open
Original postingCanonical source or apply URL captured from the ATS.Open

Linked records

CompanyFa Exvu Saasfaprod1 Fa Ocs Oraclecloud Com CX 1
Sourcef6d0cadf-249b-4136-83dc-06ed741e1fb3
ATS providerOracle Recruiting Cloud / Fusion HCM

Description

Description Why GM Financial? GM Financial is the wholly owned captive finance subsidiary of General Motors and is headquartered in Fort Worth, U.S. We are a global provider of auto finance solutions, with operations in North America, South America, and the Asia Pacific region. Through our long-standing relationships with auto dealers, we offer attractive retail financing and lease programs to meet the needs of each customer. We also offer commercial lending products to dealers to help them finance and grow their businesses. At GM Financial, our team members define and shape our culture — an environment that welcomes new ideas, fosters integrity, and creates a sense of community and belonging. Here we do more than work — we thrive. Our Purpose: We pioneer the innovations that move and connect people to what matters This position will be posted until filled. Responsibilities About the role: The Risk Analyst II – Portfolio Forecasting is responsible for assisting in the design, development, and maintenance of complex portfolio forecasting models. The models are used to support corporate planning, financing and account servicing operations. In addition, this position is responsible for analysis and reporting on factors that affect portfolio performance such as delinquency, loss frequency, loss severity, bankruptcies and payoffs In this role you will: Assist in the design, development, and maintenance of sophisticated portfolio forecasting models Utilize data mining and advanced spreadsheet/technical skills to participate in complex forecasting, modeling, analysis, and reporting related to factors that affect portfolio performance Employ best practices of data analysis and validation to ensure data results are accurate Promote innovative ways to visualize and digest complex data Proactively monitor and report relevant changes in portfolio performance to management Effectively summarize and communicate portfolio performance trends, expectations, forecast methodology and results to management May provide direction, training, and guidance to less experienced analysts and lead projects or assignments as required Qualifications What makes you an ideal candidate? Demonstrated understanding of data mining, data analysis and visualization, quantitative and analytical methods, and sophisticated forecasting techniques Advanced with Microsoft Excel, PowerPoint, and Word Experience with data analysis and spreadsheet modeling and/or reporting Experience with coding (SAS or SQL preferred) for data mining and transformation in a data warehouse environment Demonstrated quantitative skills Acute attention to detail Effective written and verbal presentation skills Capable of managing multiple projects, including ability to coordinate and balance numerous tasks in a time-sensitive environment, under pressure, meeting deadlines Ability to identify and understand business issues and map them into quantitative questions Understanding of the metrics utilized in monitoring the performance of a consumer lending portfolio is a plus Experience & Education: Normal office environment Limited travel may be required to support business needs 2-4 years experience working with complex Excel workbooks, querying large multi-table datasets, data analysis, and data presentation; the qualified candidate will also be able to demonstrate proficiency with the following tools: SAS and/or SQL, Microsoft Excel, PowerPoint, and Word Req 2-4 years experience in consumer loan or lease portfolio analysis, reporting and/or forecasting Pref Bachelor’s Degree Finance, Economics, Mathematics, Business, Business Analytics, MIS, or other quantitative field; degrees in non-quantitative fields considered with adequate work experience Required What We Offer: Generous benefits package available on day one to include: 401K matching, bonding leave for new parents (12 weeks, 100% paid), tuition assistance, training, GM employee auto discount, community service pay and nine company holidays. Our Culture: Our team members define and shape our culture — an environment that welcomes innovative ideas, fosters integrity, and creates a sense of community and belonging. Here we do more than work — we thrive. Compensation: Competitive pay and bonus eligibility. Work Life Balance: Flexible hybrid work environment, 2 days a week in the office. NOTE: We are unable to consider candidates who require visa sponsorship for this position This position is not open to agency submissions #GMFJobs #LI-TL1 #LI-Hybrid

Full job record

Job IDa4f05491768c5be35d766b53e83da23264b6c940
Org ID75949101-40bb-42f4-afdd-cf86ec16bd86
Source IDf6d0cadf-249b-4136-83dc-06ed741e1fb3
Board IDf6d0cadf-249b-4136-83dc-06ed741e1fb3
Provideroracle_hcm
Provider Job Key2122
TitleRisk Analyst II - Portfolio Forecasting
Normalized Title
Statusactive
Activeyes
Location TextFort Worth, TX, United States; US - Burnett, TX, Fort Worth, TX, US
DepartmentLegal, Compliance and Risk
Team
Employment Typefull_time
Workplace Typehybrid
Remote Policyhybrid
CountryUnited States
RegionTX
CityFort Worth
Salary RawDescription Why GM Financial? GM Financial is the wholly owned captive finance subsidiary of General Motors and is headquartered in Fort Worth, U.S. We are a global provider of auto finance solutions, with operations in North America, South America, and the Asia Pacific region. Through our long-standing relationships with auto dealers, we offer attractive retail financing and lease programs to meet the needs of each customer. We also offer commercial lending products to dealers to help them finance and grow their businesses. At GM Financial, our team members define and shape our culture — an environment that welcomes new ideas, fosters integrity, and creates a sense of community and belonging. Here we do more than work — we thrive. Our Purpose: We pioneer the innovations that move and connect people to what matters This position will be posted until filled. Responsibilities About the role: The Risk Analyst II – Portfolio Forecasting is responsible for assisting in the design, development, and maintenance of complex portfolio forecasting models. The models are used to support corporate planning, financing and account servicing operations. In addition, this position is responsible for analysis and reporting on factors that affect portfolio performance such as delinquency, loss frequency, loss severity, bankruptcies and payoffs In this role you will: Assist in the design, development, and maintenance of sophisticated portfolio forecasting models Utilize data mining and advanced spreadsheet/technical skills to participate in complex forecasting, modeling, analysis, and reporting related to factors that affect portfolio performance Employ best practices of data analysis and validation to ensure data results are accurate Promote innovative ways to visualize and digest complex data Proactively monitor and report relevant changes in portfolio performance to management Effectively summarize and communicate portfolio performance trends, expectations, forecast methodology and results to management May provide direction, training, and guidance to less experienced analysts and lead projects or assignments as required Qualifications What makes you an ideal candidate? Demonstrated understanding of data mining, data analysis and visualization, quantitative and analytical methods, and sophisticated forecasting techniques Advanced with Microsoft Excel, PowerPoint, and Word Experience with data analysis and spreadsheet modeling and/or reporting Experience with coding (SAS or SQL preferred) for data mining and transformation in a data warehouse environment Demonstrated quantitative skills Acute attention to detail Effective written and verbal presentation skills Capable of managing multiple projects, including ability to coordinate and balance numerous tasks in a time-sensitive environment, under pressure, meeting deadlines Ability to identify and understand business issues and map them into quantitative questions Understanding of the metrics utilized in monitoring the performance of a consumer lending portfolio is a plus Experience & Education: Normal office environment Limited travel may be required to support business needs 2-4 years experience working with complex Excel workbooks, querying large multi-table datasets, data analysis, and data presentation; the qualified candidate will also be able to demonstrate proficiency with the following tools: SAS and/or SQL, Microsoft Excel, PowerPoint, and Word Req 2-4 years experience in consumer loan or lease portfolio analysis, reporting and/or forecasting Pref Bachelor’s Degree Finance, Economics, Mathematics, Business, Business Analytics, MIS, or other quantitative field; degrees in non-quantitative fields considered with adequate work experience Required What We Offer: Generous benefits package available on day one to include: 401K matching, bonding leave for new parents (12 weeks, 100% paid), tuition assistance, training, GM employee auto discount, community service pay and nine company holidays. Our Culture: Our team members define and shape our culture — an environment that welcomes innovative ideas, fosters integrity, and creates a sense of community and belonging. Here we do more than work — we thrive. Compensation: Competitive pay and bonus eligibility. Work Life Balance: Flexible hybrid work environment, 2 days a week in the office. NOTE: We are unable to consider candidates who require visa sponsorship for this position This position is not open to agency submissions #GMFJobs #LI-TL1 #LI-Hybrid
Salary Min
Salary Max
Salary Currency
Salary Periodday
Source URLhttps://fa-exvu-saasfaprod1.fa.ocs.oraclecloud.com/hcmUI/CandidateExperience/en/sites/CX_1/job/2122
Apply URLhttps://fa-exvu-saasfaprod1.fa.ocs.oraclecloud.com/hcmUI/CandidateExperience/en/sites/CX_1/job/2122
First Seen At2026-05-31 18:15:50Z
Last Seen At2026-06-06 11:21:37Z
Last Checked At2026-06-06 11:21:37Z
Last Changed At2026-05-31 18:15:50Z
Inactive At
Source Posted At2026-04-07 21:01:30Z
Source Updated At
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