
Manager, Investments
F&G
full-time
Posted on:
Location Type: Remote
Location: United States
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About the role
- Analyze actual versus expected investment deployment related to new business flows; independently identify deviations, diagnose root causes, and recommend corrective actions.
- Maintain an enterprise-level view of portfolio liquidity, cash positioning, and reinvestment capacity across products, legal entities, and asset classes.
- Monitor portfolio runoff, liquidity needs, and reinvestment timing to support business growth and capital efficiency.
- Track and evaluate asset-liability cash flow profiles and portfolio positioning relative to risk limits, investment guidelines, and strategic objectives.
- Proactively identify emerging risks, inconsistencies, or misalignments before they become material issues.
- Support the design, implementation, and ongoing refinement of Strategic Asset Allocation frameworks for the Company’s institutional business lines and offshore reinsurance entities.
- Partner with external asset managers and internal stakeholders to forecast asset needs and future purchase activity.
- Evaluate new investment opportunities in the context of portfolio fit, liquidity, capital efficiency, and ALM objectives.
- Provide analytical support for pricing, new business onboarding, and long-term portfolio planning.
- Support intra-year portfolio optimization to align asset allocation with evolving business needs, market conditions, and product-specific pricing considerations.
- Assess trade-offs between yield, liquidity, risk, and capital impact when evaluating tactical allocation decisions.
- Liaise with Treasury, Middle Office, and Investment Accounting to ensure trade activity, cash movements, and data flows are accurate and timely.
- Improve operational efficiency within cash management, portfolio reporting, and data processes through automation and process redesign.
- Identify, investigate, and resolve data inconsistencies or errors across investment systems and reports.
- Coordinate and manage consolidated portfolio reporting used for internal decision-making, actuarial modeling, and corporate planning.
- Communicate investment activity, positioning, and directives clearly to external asset managers on a regular basis.
- Collaborate cross-functionally with Actuarial and Finance/FP&A teams to translate investment activity into inputs for forecasting, modeling, and analysis.
- Respond to ad hoc analytical requests from senior stakeholders with clear, concise, and decision-oriented outputs.
- Assist in the development and informal mentoring of analysts or interns, as appropriate.
Requirements
- Bachelor’s degree in mathematics, economics, investments or related field
- 7+ years of investment-related experience
- CFA and/or ASA designation preferable
Benefits
- Flexible work arrangements
- Work from home options
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
investment analysisportfolio managementcash flow analysisasset-liability managementstrategic asset allocationdata analysisfinancial modelingrisk assessmentportfolio optimizationprocess automation
Soft Skills
analytical skillscommunicationcollaborationproblem-solvingmentoringorganizational skillsattention to detaildecision-makingstakeholder managementcross-functional teamwork
Certifications
CFAASA