Reinsurance Group of America, Incorporated

Trusted Partner. Proven Results.

Senior Portfolio Manager

ManagerManagerFull TimeRemoteTeam 1,001-5,000Since 1973H1B No SponsorCompany SiteLinkedIn

Location

Connecticut

Posted

5 days ago

Salary

$150.8K - $224.6K / year

Postgraduate Degree7 yrs expEnglish

Job Description

• Develop relationships and strategic alliances with external contacts and internal cross-functional areas • Communicates with new business deal teams on requirements and expectations in offshore jurisdictions in order to inform business objectives • Manage offshore portfolios consistent with regulatory demands • Serve as primary contact for internal manager, external manager, ALM, and/or legal entity relationships and has management and oversight responsibility for strategy implementation • Provide strategic direction and oversight of portfolio monitoring, reporting, and analysis across internal/external managers and legal entities • Participate in and inform relative value framework process and directs actionable ideas • Management and oversight of cash positions and portfolio allocation process • Oversight of compliance management issues and status and signs off on periodic review of guideline/compliance rules • Suggests, reviews, and informs new tools and frameworks to improve portfolio management and investment process • Oversees periodic and ad hoc investment reporting, completes and presents new investment approval memos • Lead underwriting process for new investment opportunities and structures that facilitate better portfolio composition in various regulatory environments

Job Requirements

  • MBA graduate or CFA Charterholder and 7+ years relevant work experience
  • Bachelor’s Degree in Arts/Sciences (BA/BS) in Economics/Finance related field with 10+ years relevant work experience
  • Master’s degree in Arts/Sciences (MA/MS) ASA, FSA, or CAIA or significant adjacent work experience preferred
  • Experience operating in Bermuda and other offshore regulatory jurisdictions required
  • 10+ Years corporate credit experience preferred
  • 10+ Years alternative investment experience preferred
  • 10+ Years fixed income management experience in an insurance client environment preferred
  • Highly advanced Microsoft Office skills/coding skills required
  • Highly advanced oral and written communication skills demonstrating ability to share and impart knowledge required
  • Expert understanding of investment/market concepts required
  • Highly advanced knowledge of asset liability management and fixed income analytics required
  • Investigative, analytical and problem solving skills required
  • Ability to set goals and handle multiple tasks, clients, and projects simultaneously required
  • Ability to work well within a team environment and participate in department/team projects required
  • Highly advanced negotiation skills to assist with internal/external discussions required
  • Ability to translate business needs and problems into viable/accepted solutions required
  • Highly advanced customer relationship management and change management skills required
  • Ability to liaise with individuals across a wide variety of operational, functional, and technical disciplines required
  • Demonstrable track record of the successful implementation of Investment/portfolio strategies preferred
  • CFA or significant progress towards required

Benefits

  • Annual bonus plan
  • Participation in long-term equity incentive plan
  • Full range of health benefits
  • Retirement plans

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