Senior Manager of Asset & Program Risk at PG&E responsible for risk evaluation and analytics. Leading a team to inform maintenance and investment decisions related to asset management.
Responsibilities
Partner with Asset Strategy to assess and model safety risk, outage risk, asset failure likelihood, and aging infrastructure trends.
Evaluate capital portfolio risks, including delivery risk, execution constraints, deferral impacts, and regulatory alignment.
Integrate risk and safety insights into maintenance prioritization, remediation programs, and capital investment planning.
Coordinate with Investment Planning functions, Asset Strategy, and Enterprise Risk to align asset strategies with enterprise risk appetite and regulatory requirements.
Lead a team that develops analytic models, visualizations, and tools that measure, predict, and display asset risk across Transmission and Distribution.
Enhance and support a risk-informed investments methodology, ensuring transparency, repeatability, and defensibility.
Develop procedures, tools, and governance for asset risk analytics and investment prioritization processes.
Report findings, recommendations, and progress to officers, directors, and key internal and external stakeholders.
Provide strategic recommendations to reduce safety and reliability risk and enhance the long-term performance of the asset base.
Manage staffing, budget, and vendor/consultant resources to ensure value delivery and efficient execution.
Represent the company at industry forums or technical committees related to asset risk, analytics, and capital planning.
Support the development and implementation of corrective actions that address asset-related risks and improve grid resilience.
Requirements
Bachelor’s degree in Engineering, Business, Economics, or related field, or equivalent experience.
8 years of engineering, analytical modeling, or asset-related experience.
Master’s degree.
5 years of supervisory/managerial experience.
Professional Engineering License.
Six Sigma Green Belt certification.
Strong understanding of asset health modeling, lifecycle planning, predictive analytics, and risk-based investment strategies.
Experience in capital planning, portfolio management, or risk governance.
Ability to direct technical teams and manage methodologies, tools, and data systems supporting risk and investment planning.
Ability to communicate complex risk insights simply and persuasively to executives and stakeholders.
Experience coordinating large cross-functional initiatives and improvement programs.
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