06/09/2026

Risk Analyst - Portfolio Analytics

Job 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.

About the role:

The Risk Analyst - Portfolio Analytics is responsible for conducting analysis and developing reporting to monitor portfolio performance.  The analysis and reporting are leveraged by many internal customers, including senior and executive management, to evaluate and communicate credit performance trends.

In this role you will: 

  • Utilize data exploration and advanced spreadsheet/technical skills to monitor portfolio performance and report results to senior management.
  • Summarize findings, develop recommendations and present analyses to management in a clear, concise, convincing, and actionable format.
  • Employ best practices of data analysis and validation to ensure data results are accurate.
  • Promote innovative ways to visualize and digest complex data.
  • Create and maintain organized, efficient, and repeatable processes for monitoring portfolio performance.
  • Proactively monitor and report relevant changes in portfolio performance to management.
  • Conduct ad hoc research projects incorporating project design, data collection and analysis, summarization of findings, and presentation of results.
  • Work directly with internal customers (management) to create/adjust reports to effectively communicate portfolio performance.

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