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General information

Career area
Work Location(s)
128 S Tryon Street, Charlotte, NC, 12808 Gran Bay Parkway West, Jacksonville, FL, 12808 W. Gran Bay, Jacksonville, FL, 12850 W. Gran Bay Pkwy, Jacksonville, FL, 2911 Lake Vista Drive, Lewisville, TX, 5851 Legacy Circle, Plano, TX, 601 S. Tryon Street, Charlotte, NC
Ref #
Posted Date
Tuesday, June 14, 2022
Working time

The Opportunity

We are looking for a dynamic leader with excellent communication skills and experience leading a high potential team, with a background in consumer lending, business analytics and intelligence, and strong problem solving and organizational skills.


As a Manager of Portfolio Risk Analyst, the person will be responsible for conducting complex analysis and in-depth research on consumer and credit risk issues across Ally’s Consumer Auto portfolio.  The analysis and research include procuring and publishing consumer and portfolio analytics that drive proactive risk awareness while succinctly articulating the results through narratives and presentations for executive audiences.

The Work Itself

  • Develop, own and drive the roadmap and vision for Ally’s Auto Portfolio Risk and work with key executive stakeholders
  • Lead a team of season analysts focused on proactively identify portfolio and consumer risk within the auto portfolio
  • Work closely with executive and operational leaders on emerging risk trends and tactics related to mitigate said risks
  • Uncover unknown risks through new and more granular analytics using internal and 3rd party data sources
  • Manage the priorities using sound control processes (daily/weekly/monthly) to effectively identify, assess and manage risk
  • Influence the roadmap and priorities of other partner groups by proactive engagement on topics related to consumer and portfolio risk

The Skills You Bring

  • Strong business and financial acumen; experience working with data analysis and discovery
  • High-performing self-starter, with strong attention to detail and excellent organizational skills
  • Strong program and project management skills; ability to understand organizational capacity and manage resource allocations to achieve business outcomes
  • Highly collaborative, with ability to lead and influence others with confidence and emotional intelligence
  • Ability to present recommendations with supporting rationale and be accountable to timelines, organizational capacity and project needs
  • Strong communication and partnership skills; able to collaborate through complex problems with a diverse team across departments, organizational levels, and with external partners
  • Ability to challenge assumptions and give and receive feedback respectfully
  • Ability to estimate work, commit and deliver on deadlines and be vocal when risks arise
  • Ability to manage multiple priorities concurrently, including self-executed deliverables and requirements executed by other teams


Experience and Education

  • Bachelor’s degree in Business, Finance, Operations Research, Statistics, Economics or a similar discipline with quantitative focus
  • 5+ years of experience in a similar role focused on risk functions
  • Excellent written and verbal communication skills, including the ability to effectively present proposals and vision to executive leadership
  • Experience working with and influencing support partners to align objectives and enable change
  • Candidate should possess outstanding analytical and problem-solving skills; should be a critical thinker with strong attention to details
  • Experience leading a team of direct reports with good organizational skills
  • Understanding of risk management concepts and key performance drivers within consumer lending portfolios.
  • Understanding of data mining and analytical techniques
  • Minimum 3-4 years of practical experience working with large datasets with SAS and/or SQL knowledge