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Completes risk management training curriculum including classroom instruction and on-site learning ... Prepares and runs econometric models for fundamental commodity forecasting and analysis.
Completes risk management training curriculum including classroom instruction and on-site learning ... Prepares and runs econometric models for fundamental commodity forecasting and analysis.
Completes risk management training curriculum including classroom instruction and on-site learning ... Prepares and runs econometric models for fundamental commodity forecasting and analysis.
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Manager Model Risk Management information
See Waterville, OH salary details
$38.4K - $48.3K
8% of jobs
$48.3K - $58.2K
14% of jobs
$62.8K is the 25th percentile. Wages below this are outliers.
$58.2K - $68.2K
6% of jobs
$68.2K - $78.1K
8% of jobs
$78.1K - $88.1K
11% of jobs
The median wage is $90.1K / yr.
$88.1K - $98K
13% of jobs
$98K - $107.9K
11% of jobs
$111K is the 75th percentile. Wages above this are outliers.
$107.9K - $117.9K
15% of jobs
$117.9K - $127.8K
8% of jobs
$127.8K - $137.8K
4% of jobs
$137.8K - $147.7K
2% of jobs
$38.4K
$91.4K
$147.7K
How much do manager model risk management jobs pay per year?
What is the difference between Manager Model Risk Management vs Model Risk Analyst?
| Aspect | Manager Model Risk Management | Model Risk Analyst |
|---|---|---|
| Credentials | Typically requires advanced degrees (e.g., MBA, Master's in Finance or Risk), certifications like FRM or CFA | Often requires similar credentials, such as FRM or CFA, but may have less emphasis on managerial certifications |
| Work Environment | Leads teams, manages risk frameworks, and interacts with senior management | Performs detailed risk analysis, supports model validation, and reports findings |
| Employer & Industry Usage | Common in banking, asset management, and financial institutions | Found 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.
Job description
SUMMARY
We are seeking a highly experienced and financially sophisticated professional to lead and manage complex insurance strategies at Welltower. This role will be responsible for structuring, negotiating and optimizing insurance programs and our risk management function, with a particular focus on complex risk scenarios and aligning with broader financial objectives. The ideal candidate brings deep experience in commercial real estate insurance and/or healthcare operations insurance, strong analytical and financial acumen and a proven ability to navigate nuanced and high-stakes insurance matters, including captive insurance matters. This position can be based out of our Toledo, OH, Dallas, TX or New York, NY office.
KEY RESPONSIBILITIES
Insurance Programs Procurement and Management
- Effectively manage and lead the risk management team personnel.
- Responsible for annual renewals and bidding processes for all insurance lines, such as property, GL/PL, D&O, executive risk (cyber), pollution, auto, etc
- Oversee the management of property and GL/PL captive solutions (claims management, accounting/payment of claims, managing relationship with captive manager).
- Manage relationships with operators regarding coverage, claims and participation in captive programs
- Partner with legal, asset management, and operations teams on risk exposure and claims resolution. Â
- Manage and maintain strong relationships with insurance brokers, carriers, reinsurers, captive managers, and third-party advisors.
- Present insurance strategy, captive performance, and risk insights to senior leadership and, as appropriate, board-level stakeholders.
Captive Insurance Program Management
- Lead the strategy, structure, and ongoing management of the company’s captive insurance program(s), ensuring alignment with enterprise risk and financial objectives.
- Evaluate opportunities to expand captive utilization, including new lines of coverage, increased retention, and capital efficiency initiatives.
- Oversee captive financial performance, including capitalization, reserving, premium allocation, and dividend strategy.
- Partner with actuarial advisors to assess loss projections, pricing adequacy, and reserve sufficiency.
- Coordinate with tax, accounting, and legal teams to ensure regulatory compliance and optimal structuring of captive entities.
- Manage relationships with captive managers, regulators, auditors, and domiciles.
- Integrate captive strategy into overall total cost of risk (TCOR) optimization and long-term capital planning.
Financial & Analytical Leadership
- Integrate insurance strategy into broader financial planning, capital allocation, and underwriting decisions.
- Analyze total cost of risk (TCOR), including premiums, deductibles, self-insured retentions, captive participation, and claims trends.
- Support investment and asset management teams with insurance diligence for acquisitions, dispositions, and financings.
- Model financial impact of insurance structures, including risk retention and captive utilization strategies.
OTHER DUTIES
Please note this job description is not designed to cover or contain a comprehensive listing of activities, duties, or responsibilities that are required of this employee for this job. Duties, responsibilities, and activities may change at any time with or without notice.
COMPETENCIES
- Demonstrated ability to analyze data and identify potential risks. Direct experience with captive insurance, re-insurance, and financial acumen in underwriting insurance programs is highly desirable.
- Deep expertise in complex insurance structures (property, casualty, professional liability, cyber, etc.).
- Proven ability to manage large-scale, multi-layered insurance programs and complex claims.
- Proficiency in general IT applications and software.
- Strong project planning and management skills.
- Exceptional attention to detail in assessing and addressing risk factors.
- Proven ability to gather information through research and data analysis.
- Outstanding time management skills with the ability to meet deadlines in a fast-paced environment.
- Excellent negotiation, analytical and communication skills.
- Previous experience with international operations is preferred, as it will provide valuable insights into managing risks across different jurisdictions
- Experience in healthcare or seniors housing real estate is a plus.
TRAVEL
Some out-of-area and overnight travel may be expected.
MINIMUM REQUIREMENTS
A minimum of 10-15 years of experience in risk management and compliance is required.
A bachelor’s degree in relevant field is required. Advanced degree (MBA, JD or Master’s) is preferred. Employment is contingent upon the successful completion of a background check, drug screening, and verification of employment, education, and other credentials relevant to the position. Â
Welltower is committed to leveraging the talent of a diverse workforce to create great opportunities for our business and our people. EOE/AA. Minority/Female/Sexual Orientation/Gender Identity/Disability/Vet
About Welltower
Sourced by ZipRecruiter
Industry
Real estate
Company size
201 - 500 Employees
Headquarters location
Toledo, OH, US
Year founded
1970