7 часов назад
Risk Analyst II - Portfolio Forecasting
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Risk Analyst II - Portfolio Forecasting (SAS/SQL): Developing and maintaining portfolio forecasting models, analyzing large datasets, and monitoring consumer lending portfolio performance with an accent on quantitative analysis, data validation, and visualization. Focus on interpreting complex performance trends, improving forecast methodology, and communicating recommendations to management.
Location: Fort Worth, Texas, United States; hybrid schedule with two days per week in the office
Company
is General Motors' captive finance subsidiary, providing retail financing, leasing, and commercial lending solutions for automotive dealers and customers.
What you will do
- Assist with designing, developing, and maintaining sophisticated portfolio forecasting models.
- Perform data mining, quantitative analysis, spreadsheet modeling, forecasting, and reporting on portfolio performance.
- Validate data and results to ensure accuracy and reliability.
- Develop innovative ways to visualize and communicate complex portfolio data.
- Monitor portfolio performance changes and report trends, expectations, forecast methodology, and results to management.
- Provide guidance to less experienced analysts and lead projects or assignments as required.
Requirements
- 2–4 years of experience with complex Excel workbooks, large multi-table datasets, data analysis, and data presentation.
- Proficiency with SAS and/or SQL, Microsoft Excel, PowerPoint, and Word is required.
- Knowledge of data mining, visualization, quantitative methods, and forecasting techniques.
- Quantitative or analytical education, including a high school diploma, associate degree, or bachelor's degree in a relevant field; a master's degree is preferred.
- Strong attention to detail, communication, presentation, project management, and deadline-management skills.
- Visa sponsorship is not available for this position.
Nice to have
- 2–4 years of experience analyzing, reporting on, or forecasting consumer loan or lease portfolios.
- Understanding of metrics used to monitor consumer lending portfolio performance.
- Master's degree in finance, economics, mathematics, business, business analytics, MIS, or another quantitative field.
Culture & Benefits
- Flexible hybrid work environment with limited travel potentially required for business needs.
- 401(k) matching and competitive pay with bonus eligibility.
- Paid bonding leave for new parents, including 12 weeks at 100% pay.
- Tuition assistance, training, community service pay, and nine company holidays.
- GM employee auto discount and benefits available from the first day.
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