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Manager Model Risk Management Jobs in Detroit, MI

Proficiency in treasury, risk management, and financial systems, with strong analytical and modeling capabilities. * Experience supporting external reporting requirements, including derivatives ...

Risk Management Specialist

Auburn Hills, MI ยท On-site

$60K - $70K/yr

As the Risk Management Specialist, you will support the Company Vehicle Operations (CVO) program by managing policy violation reviews, claims processes, and risk-related reporting. You will oversee ...

... Facility Risk Manager/FRM) has broad responsibility to protect the hospital's assets from loss. The FRM is responsible for coordinating the loss control efforts and advising management and ...

... Facility Risk Manager/FRM) has broad responsibility to protect the hospital's assets from loss. The FRM is responsible for coordinating the loss control efforts and advising management and ...

... Facility Risk Manager/FRM) has broad responsibility to protect the hospital's assets from loss. The FRM is responsible for coordinating the loss control efforts and advising management and ...

... Facility Risk Manager/FRM) has broad responsibility to protect the hospital's assets from loss. The FRM is responsible for coordinating the loss control efforts and advising management and ...

... Facility Risk Manager/FRM) has broad responsibility to protect the hospital's assets from loss. The FRM is responsible for coordinating the loss control efforts and advising management and ...

Risk Manager I (US)

Southfield, MI ยท On-site

$91K - $136K/yr

Experience in data modeling and risk management either from a business administration, statistical, mathematical, scientific or financial background * Excellent written and verbal communication ...

Risk Manager I (US)

Southfield, MI ยท On-site

$91K - $136K/yr

Experience in data modeling and risk management either from a business administration, statistical, mathematical, scientific or financial background * Excellent written and verbal communication ...

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Showing results 1-20

Manager Model Risk Management information

See Detroit, MI salary details

$43.1K

$102.7K

$165.8K

How much do manager model risk management jobs pay per year?

As of Jun 20, 2026, the average yearly pay for manager model risk management in Detroit, MI is $102,663.00, according to ZipRecruiter salary data. Most workers in this role earn between $71,800.00 and $130,700.00 per year, depending on experience, location, and employer.

What is the highest paying risk management job?

The highest paying risk management roles are often senior positions such as Chief Risk Officer (CRO) or Director of Risk Management, with salaries exceeding $200,000 annually. These roles typically require extensive experience, advanced certifications like FRM or CFA, and strong leadership skills in financial institutions or large corporations.

What does a model risk manager do?

A model risk manager oversees the identification, assessment, and mitigation of risks associated with financial and operational models used within an organization. They ensure models are accurate, compliant with regulations, and perform as intended, often working with validation teams and utilizing tools like statistical software. Their role helps prevent financial loss and supports sound decision-making.

What is the difference between Manager Model Risk Management vs Model Risk Analyst?

AspectManager Model Risk ManagementModel Risk Analyst
CredentialsTypically requires advanced degrees (e.g., MBA, Master's in Finance or Risk), certifications like FRM or CFAOften requires similar credentials, such as FRM or CFA, but may have less emphasis on managerial certifications
Work EnvironmentLeads teams, manages risk frameworks, and interacts with senior managementPerforms detailed risk analysis, supports model validation, and reports findings
Employer & Industry UsageCommon in banking, asset management, and financial institutionsFound in similar environments, often as a supporting role to managers

The Manager Model Risk Management oversees the entire model risk framework, manages teams, and interacts with senior stakeholders. In contrast, the Model Risk Analyst focuses on detailed analysis, validation, and reporting of models. Both roles require similar credentials but differ in scope and responsibilities.

Is model risk management a good career?

Model risk management is a specialized field within financial and banking sectors that involves identifying, assessing, and mitigating risks associated with financial models. It offers opportunities for growth, requires strong analytical skills, and often involves certifications like FRM or CFA. The role is considered stable and in demand due to increasing regulatory requirements and reliance on complex models.

What is the salary of model risk management in Deloitte?

The salary for a Manager in Model Risk Management at Deloitte typically ranges from $110,000 to $150,000 annually, depending on experience, location, and performance. Additional benefits may include bonuses, health insurance, and professional development opportunities.
What are the most commonly searched types of Model Risk Management jobs in Detroit, MI? The most popular types of Model Risk Management jobs in Detroit, MI are:
What are popular job titles related to Manager Model Risk Management jobs in Detroit, MI? For Manager Model Risk Management jobs in Detroit, MI, the most frequently searched job titles are:
What job categories do people searching Manager Model Risk Management jobs in Detroit, MI look for? The top searched job categories for Manager Model Risk Management jobs in Detroit, MI are:
What cities near Detroit, MI are hiring for Manager Model Risk Management jobs? Cities near Detroit, MI with the most Manager Model Risk Management job openings:
Senior Manager - Risk Management

Senior Manager - Risk Management

Venteon

Troy, MI โ€ข On-site

Full-time

Medical, Dental, Vision, Retirement, PTO

Posted 10 days ago


Job description

Job Description
Sr. Manager Financial Risk
Venteon is currently seeking a Sr. Manager Financial Risk. The ideal candidate will be a critical contributor to the company s overall financial success.
This position reports to the VP & Treasurer and is responsible for leading the Company s financial risk management activities, including the design and execution of foreign currency and interest rate hedging strategies, as well as the structuring and oversight of global insurance programs. The role serves as a key leader within Corporate Treasury, driving risk identification, mitigation, and governance to protect earnings, cash flow, and enterprise value.
Requirements of the Sr. Manager Financial Risk
  • Bachelor s degree in Finance, Accounting, or a related discipline required; MBA or relevant advanced degree preferred. Professional certifications (CFA, CTP, CPA) strongly preferred.
  • Minimum 12 years of progressive experience across treasury, corporate finance, or accounting, including at least 8 years in treasury with direct exposure to financial risk management.
  • Demonstrated experience in foreign currency and interest rate risk management, including hedging strategy development, execution, and accounting.
  • Direct experience designing and managing global insurance programs, including placement, renewals, claims management, and broker oversight.
  • Strong knowledge of financial risk assessment, internal controls, and governance frameworks.
  • Proficiency in treasury, risk management, and financial systems, with strong analytical and modeling capabilities.
  • Experience supporting external reporting requirements, including derivatives disclosures and audit coordination.
  • Proven ability to manage and influence external partners, including brokers, insurers, and third-party administrators.
  • Strong leadership, project management, and organizational skills, with the ability to manage multiple priorities in a dynamic environment.
  • Excellent judgment and decision-making capability in complex risk and financial matters.
  • Effective communicator with the ability to partner cross-functionally across Finance, Accounting, Tax, Audit, and Legal, and to present to senior leadership.

Benefits of the Sr. Manager Financial Risk
  • Salary
  • Bonus
  • Full time position
  • Paid time off
  • Medical / Dental / Vision
  • 401k
  • Company perks

Responsibilities of the Sr. Manager Financial Risk
  • Lead the Company s financial risk management framework, including identification, measurement, mitigation, and governance of key risk exposures.
  • Identify, quantify, and monitor foreign currency exposures (cash flow and balance sheet) and design and execute hedging strategies to mitigate earnings and cash flow volatility.
  • Evaluate and implement interest rate risk management strategies for the Company s debt portfolio.
  • Oversee the global hedging program, including trade execution, valuation (mark-to-market), and hedge effectiveness testing in compliance with accounting standards.
  • Ensure accurate accounting and reporting for hedging and foreign exchange activities, including journal entries, reconciliations, and support for month-end close.
  • Support quarterly and annual financial disclosures related to treasury activities, including derivatives and risk management.
  • Lead the design, placement, and optimization of the Company s global insurance programs, including Property, Casualty, D&O, and specialty coverages.
  • Direct the annual insurance renewal process, including exposure data development, broker engagement, coverage structuring, and premium negotiation.
  • Oversee claims management, including incident reporting, carrier engagement, and resolution strategy.
  • Lead the Company s Enterprise Risk Management (ERM) program, including identification, assessment, and documentation of key enterprise risks and mitigation strategies across the organization.
  • Prepare and deliver reporting and presentations to senior leadership and the Board of Directors on financial risk exposures, hedging performance, and insurance programs.

If you are a high performer and would like to work for an equally high performing company and you think the above opportunity is appropriate for you, we invite you to apply to this job and email your resume to kroehrig@venteon.com
We treat all resumes with strict confidentiality. We will always contact you first before submitting your resume to our client(s) for review. If you do not receive correspondence, you are not a fit for this position.
At Venteon, our talent acquisition team is proud to provide our clients with the most qualified Accounting & Finance, Engineering, and IT talent in the industry today.