Portfolio Manager I: Investment Strategy & Analysis

Reinsurance Group Of America

Atlanta (GA)

On-site

USD 120,000 - 180,000

Full time

14 days+
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Job summary

Reinsurance Group Of America is seeking an experienced investment professional to lead portfolio management aligned with insurance liabilities and surplus. You will coordinate internal and external managers, develop strategies, and ensure robust reporting and compliance across portfolios.

The role emphasizes communication, implementation of investment mandates, and strong analytical decision making in a complex insurance investment environment.

Qualifications

  • MBA or Economics/Finance degree with relevant experience.
  • CFA or significant progress toward CFA is preferred.
  • Advanced MS Office and especially Excel proficiency.
  • Strong understanding of investment and market concepts.
  • Experience with asset liability management and fixed income analytics.

Responsibilities

  • Lead or support investment strategy and portfolio management.
  • Monitor portfolios and reporting for internal/external managers.
  • Perform due diligence on new opportunities and manage relationships.
  • Develop and implement investment ideas within risk/return constraints.
  • Prepare memos and collaborate with ALM and investment teams.
  • Analyze cash positions, fund allocations, and reporting accuracy.
  • Support funding, trade operations, and data implementation.
  • Communicate results and recommendations across stakeholders.

Skills

Investment concepts
Analytical thinking
Communication skills
Team collaboration
Negotiation
Project management

Education

MBA or economics/finance related MBA
Bachelor's degree in Economics/Finance
CFA or progress toward CFA
Masters/ASA/CAIA (preferred)

Tools

Excel
Microsoft Office
Portfolio management software

Job description

Reinsurance Group Of America is seeking an experienced investment professional to lead portfolio management aligned with insurance liabilities and surplus. You will coordinate internal and external managers, develop strategies, and ensure robust reporting and compliance across portfolios.

The role emphasizes communication, implementation of investment mandates, and strong analytical decision making in a complex insurance investment environment.

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