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Are you passionate about quantitative modelling, financial markets, and reinsurance Join Swiss Re's Financial Market Portfolios team and work at the intersection of reinsurance, financial markets, and technology, supporting innovative Financial Solutions and capital management transactions across global markets.
About the Role
As a Portfolio Manager, you will help manage a diverse portfolio of Financial Solutions transactions exposed to financial market risks. You will work across transaction onboarding, valuation, risk management, portfolio analytics, and process automation, collaborating with experts across Swiss Re's global organization.
Key Responsibilities
About the Team
The Financial Market Portfolios team manages a diverse portfolio of Financial Solutions transactions and plays a central role in supporting business growth through robust valuation, risk management, portfolio analytics, and performance monitoring.
About You
We are looking for candidates with:
These are additional nice to haves:
We welcome applications from candidates with varying levels of experience. The final level and title will be determined based on the successful candidate's skills, experience, and qualifications. Candidates with less experience may be considered for an appropriate role within the team.
We may use AI-powered tools to support the review and evaluation of applications for this position. These tools provide additional insights to our recruitment teams, but all hiring decisions are carefully reviewed and made by people. To learn more about how we use AI in recruitment and how we handle your personal data, please review our Data Privacy Statement before applying.
Swiss Reinsurance Company Ltd, commonly known as Swiss Re, is a reinsurance company based in Zurich, Switzerland. It is the world's largest reinsurer, as measured by net premiums written
Job ID: 149273737
Skills:
Sql, Python, Tableau, Pyspark, Metabase, R, machine learning models, Looker
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