Manager of Risk Adjustment Analytics - Permanant hybrid job in New York City NY

Hybrid in New York City, NY, US • Posted 1 day ago • Updated 2 hours ago
Full Time
Hybrid
$135,292 - $152,204/yr
Fitment

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Job Details

Skills

  • Manager of Risk Adjustment Analytics

Summary

Position: Manager of Risk Adjustment Analytics

Location: Hybrid in New York City

Work Schedule: Monday - Friday, 9:00am - 5:00pm

 

About the Company

 

Client is a community-based, not-for-profit organization serving people with chronic care needs, as well as seniors and individuals in need of continuing care and managed care services.

Their mission is to promote healing, better health and well-being to the fullest extent possible. Their care is offered through a comprehensive array of community and residential programs, as well as managed care. This client has delivered quality health care services to individuals residing within New York City for over 45 years.

 

Scope of the Role

 

The Manager of Risk Adjustment Analytics strengthens the clients ability to monitor and improve performance in shared savings arrangements across Medicare Advantage, Medicaid, commercial, and traditional Medicare. This role exists to translate complex risk adjustment and value-based care data into clear insights that guide forecasting, operational decisions, and improvement priorities.

 

Key responsibilities include leading risk adjustment analytics with an initial emphasis on Medicare Advantage and Medicare; tracking risk-score movement and flagging anomalies; applying expert knowledge of CMS/HCC methodology and claims-based data; building dashboards and concise reporting for internal and external stakeholders; and collaborating with Performance, Finance, and data engineering teams to ensure data is reliable and analysis-ready.

 

Required qualifications:

 

- 6-10 years in risk adjustment and/or healthcare analytics

- Deep expertise in Medicare Advantage risk adjustment, HCC modeling, and CMS methodologies

- Strong knowledge of value-based care contracts, policy, operations, and financial methods

- Proficiency with SAS, SQL, and data mining tools

- Bachelor's degree required (Master's preferred)

 

If you're ready to deliver rigorous analytics that informs action, apply today.

 

A Typical Workday

 

Your day is structured around focused analysis time and cross-functional touchpoints. You may start by reviewing updated risk score outputs and trend views, then align with Performance and Finance partners on what leaders need explained or forecasted for upcoming contract discussions. Midday often includes refining visualizations so insights are easy to interpret, followed by working sessions with data ingestion and engineering to validate claims availability and resolve data questions before conclusions are shared.

 

As the day progresses, you synthesize findings into a clear narrative-what changed, why it matters, and what actions are implied-then prepare materials for stakeholder readouts. In this fast-paced environment, you balance detail-oriented validation with timely delivery, supporting clients learning and improvement across shared savings programs.

 

Employers have access to artificial intelligence language tools (“AI”) that help generate and enhance job descriptions and AI may have been used to create this description. The position description has been reviewed for accuracy and Dice believes it to correctly reflect the job opportunity.
  • Dice Id: svam
  • Position Id: Risk_Manager
  • Posted 1 day ago
Contact the job poster
Michael Vigie

Michael Vigie

Svam International, Inc. Recruiter @ Svam International, Inc.
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