Senior Analyst, Investment Solutions

Reinsurance Group of America, IncorporatedChesterfield, MO
$89,310 - $134,870

About The Position

RGA Investments is a global asset manager based in St. Louis with over $76 billion in fixed income and equity securities under management. Investment Solutions is a high impact team of portfolio managers and analysts in RGA Investments with associates located in St Louis, London, and Singapore. The team is dedicated to new business activities within reinsurance and M&A context. Investment Solutions develops and executes liability driven investment strategies to optimize risk adjusted returns. We seek motivated individuals with strong quantitative skills to join our growing team and perform in a fast-paced environment while delivering high quality analysis.

Requirements

  • Bachelor’s degree in a field requiring strong analytical and quantitative skills such as Mathematics, Actuarial, Finance, Engineering, Computer Science, Financial Engineering and other sciences, and 3+ years of relevant work experience OR PhD, Master of Finance, or MBA and 1-3 years of relevant work experience
  • Basic knowledge of fixed income portfolio management
  • Advanced Excel skills, including VBA
  • Programming knowledge/experience with Python or other programming languages
  • Advanced investigative, analytical, and problem-solving skills
  • Ability to work well in an environment with multiple concurrent projects, managing project-based workflow within demanding time frames and adapt quickly to new methods
  • Solid oral and written communication skills

Nice To Haves

  • Experience in insurance asset management or liability driven asset management
  • Understanding of relevant insurance regulatory and accounting standards
  • Experience with machine learning and/or AI tools

Responsibilities

  • Work closely with portfolio managers to support various quantitative and analytical functions for asset intensive reinsurance transactions
  • Design transaction specific asset strategies to optimize return on capital within regulatory, accounting, operating and risk management constraints
  • Maintain asset and credit related pricing assumptions
  • Help negotiate investment guidelines and treaty terms with clients to deliver the flexibility necessary to manage asset risk and generate target return
  • Act as liaison with asset specialists, traders, and operations teams
  • Support innovation of tools utilized for portfolio construction and tracking
  • Explain and communicate complex analysis, as well as preparing reports and presentations to demonstrate work performed
  • Assist with research projects and maintain knowledge of latest investment practices, trends, and applications
  • Perform other duties as assigned

Benefits

  • annual bonus plan
  • long-term equity incentive plan
  • full range of health, retirement, and other employee benefits
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