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Swiss Re

Senior Portfolio Manager

Swiss Re

Portfolio Manager managing financial solutions transactions exposed to financial market risks at Swiss Re. Collaborating across global teams for transaction onboarding, valuation, and risk management.

Posted 6/17/2026full-timeBangalore • 🇮🇳 IndiaSeniorWebsite

Tech Stack

Tools & technologies
Python

About the role

Key responsibilities & impact
  • Manage a diverse portfolio of Financial Solutions transactions exposed to financial market risks
  • Work across transaction onboarding, valuation, risk management, portfolio analytics, and process automation
  • Develop, maintain, and enhance quantitative models supporting pricing, valuation, risk management, and performance monitoring
  • Manage transaction models and analytics throughout the transaction lifecycle
  • Support the in-force management of Financial Market Transformation, Remote Risk Transactions, VA GMxB, Longevity, and other Financial Solutions transactions
  • Automate modelling and reporting processes using modern programming, data analytics, and AI-assisted development tools
  • Perform transaction performance analyses, investigations, and portfolio monitoring
  • Support the onboarding of new transactions and products
  • Collaborate with stakeholders across L&H Structured Solutions, Trading & Structuring, Quantitative Analytics, Client Markets, Financial Risk Management, Financial Lines Valuation, Treasury, and Market Units

Requirements

What you’ll need
  • A degree in Actuarial Science, Mathematics, Statistics, Quantitative Finance, Computer Science, Physics, or a related quantitative discipline
  • 6+ years of experience in quantitative modelling, actuarial modelling, financial analytics, or related fields
  • Strong programming and debugging skills, preferably in Python, R, C/C++, or C#
  • Strong analytical, problem-solving, and communication skills
  • Interest in financial markets, insurance, and reinsurance
  • Curiosity, initiative, and a continuous learning mindset
  • Experience in structured reinsurance or financial markets transactions (nice to have)
  • Understanding of financial market risk concepts (nice to have)
  • Experience with actuarial modelling platforms such as Prophet, AXIS, or RAFM (nice to have)
  • Experience with modern software development tools (e.g. Git, GitHub) and AI-assisted development tools (nice to have)
  • Knowledge of IFRS 17, IFRS 9, EVM, and local statutory valuation frameworks (nice to have)

Benefits

Comp & perks
  • Inclusive culture encouraging fresh perspectives and innovative thinking
  • Equal opportunities to thrive and develop professionally

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Hard Skills & Tools
quantitative modellingactuarial modellingfinancial analyticsprogrammingdebuggingPythonRC/C++C#data analytics
Soft Skills
analytical skillsproblem-solving skillscommunication skillscuriosityinitiativecontinuous learning mindset