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Investment Portfolio Manager

2 months ago


Chesterfield, Missouri, United States RGA Reinsurance Company Full time
Position Overview

The role involves the creation and oversight of investment portfolios that align with the risk and return expectations associated with insurance liabilities or surplus. This position may take the lead in developing and executing investment mandates, as well as managing relationships with both internal and external managers. The focus is on effective communication and implementation of portfolio management and investment strategies.

Key Responsibilities
  • Acts as a secondary contact transitioning to primary for external manager and segment relationships.
  • Develops portfolio monitoring, internal and external manager reporting, and analysis while executing potential actions.
  • Serves as the daily liaison for internal manager teams, recommending and implementing investment strategies.
  • Assists in sourcing ideas and reviewing deals related to yield enhancement efforts with investment banks and external managers, providing recommendations.
  • Generates and proposes actionable ideas utilizing a relative value framework.
  • Monitors cash positions and aids in the portfolio allocation process.
  • Analyzes Stable Value portfolios, creating and updating reviews; participates in manager due diligence and resolves product/manager inquiries.
  • Addresses compliance management issues and conducts periodic reviews of guideline/compliance rules.
  • Enhances investment system expertise to support the portfolio management process.
  • Reviews regular and ad hoc investment reports.
  • Collaborates with the asset liability management team to implement strategies.
  • Conducts primary due diligence and research on new investment opportunities.
  • Assists in forming opinions on whether to proceed with transactions.
  • Plays a crucial role in the underwriting process for new investment opportunities, drafting transaction theses and identifying key risks.
  • Prepares investment approval documentation.
  • Supports assigned general partner relationships.
  • Produces regular analyses and reports for assigned investments, aiding with amendments and additional funding requests.
  • Reviews periodic and ad-hoc portfolio management reports.
  • Compiles data and analysis for portfolio reviews, ensuring accuracy.
  • Ensures a smooth funding process and ongoing data implementation, resolving any trade operations issues.
  • Conducts primary research for strategic initiatives.
  • Develops and implements new tools to enhance the investment process.
  • Manages the workflow of portfolio analysts.
  • Maintains regular and predictable attendance.
  • Performs additional duties as assigned.
Qualifications
  • MBA with 2+ years of relevant experience or a Bachelor's degree in Economics/Finance with 4+ years of relevant experience.
  • CFA designation or significant progress towards it.
  • Advanced proficiency in Microsoft Office.
  • Expertise in Excel.
  • Exceptional oral and written communication skills, demonstrating the ability to share and impart knowledge effectively.
  • Strong understanding of investment and market concepts.
  • Advanced knowledge of asset liability management.
  • Proficient in portfolio and fixed income analytics (e.g., sector weightings, portfolio duration, performance attribution, convexity, and term structure of interest rates).
  • Strong investigative, analytical, and problem-solving skills.
  • Ability to set goals and manage multiple tasks, clients, and projects simultaneously; effectively balancing priorities, deadlines, and deliverables.
  • Ability to collaborate within a team environment and contribute to department/team projects.
  • Ability to balance detail with departmental objectives.
  • Capability to translate business needs and challenges into viable solutions.
  • Advanced negotiation skills for internal and external discussions.
  • Skills in customer relationship management and change management.
  • Ability to manage multiple projects or teams and establish relevant goals.
  • Negotiation and persuasion skills.
  • Ability to liaise with individuals across various operational, functional, and technical disciplines.
Preferred Qualifications:
  • Master's degree, ASA, FSA, or CAIA.
  • 2+ years of corporate credit experience.
  • 2+ years of alternative investment experience.
  • 2+ years of fixed income management experience in an insurance context.
  • Proven track record of successfully implementing investment and portfolio strategies.
Company Overview

Reinsurance Group of America, Incorporated (NYSE: RGA) is a leading global life and health reinsurance firm headquartered in St. Louis, Missouri. RGA provides innovative solutions and customized approaches to clients and partners worldwide.

Founded in 1973, RGA has established itself as the only global reinsurance company focusing primarily on life and health-related reinsurance solutions.
  • Core products and services include life reinsurance, living benefits reinsurance, group reinsurance, health reinsurance, financial solutions, facultative underwriting, and product development.
  • RGA ranks #257 on the 2024 Fortune 500 list, which ranks U.S.-based companies by total revenue.
  • RGA has been recognized on Fortune magazine's lists of the World's Most Admired Companies for 2023 and 2024.
  • RGA in Canada has been named one of Greater Toronto's Top Employers for 2024.
  • As of September 30, 2023, RGA has approximately $3.5 trillion of life reinsurance in force and assets totaling $87.4 billion.
RGA is committed to fostering diverse, equitable, and inclusive environments in our workplaces and communities. We strive to create a culture where individuals are valued, feel a sense of belonging, and are respected for their differences. Our goal is to ensure that all employees are encouraged and supported to reach their full potential.

Flexible Working Environment

RGA promotes hybrid and flexible working arrangements and welcomes discussions on balancing individual needs with business requirements during the recruitment process.

RGA offers a comprehensive array of benefits, including flexible plans.

Compensation is determined by various factors, including market conditions, a candidate's skills, and experience relative to the role.