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AVP, Portfolio Manager

$130k - $150k

Voya Financial, Inc.

*****Together we fight for everyone’s opportunity for a better financial future.*****We will do this together — with customers, partners and colleagues. We will fight for others, not against: We will stand up for and champion everyone’s access to opportunities. The status quo is not good enough ... we believe every individual and every community deserves access to financial opportunities. We are determined to support both individuals and communities in reaching a better financial future. We know that reaching this future depends on our actions today.Like our Purpose Statement, Voya believes in being bold and committed to action. We are committed to a work environment where the differences that we are born with — and those we acquire throughout our lives — are understood, valued and intentionally pursued. We believe that our employees own our culture and have a responsibility to foster an environment where we all feel comfortable bringing our whole selves to work. Purposefully bringing our differences together to positively influence our culture, serve our clients and enrich our communities is essential to our vision.****Apply Now****## Job PurposeThe Assistant Vice President, Insurance Portfolio Manager is a core investment professional within the Insurance Portfolio Management (IPM) team, supporting the construction, oversight, and day‐to‐day management of customized insurance company portfolios. The role is focused on translating insurance client objectives, balance‐sheet constraints, and regulatory considerations into portfolio construction decisions across public and private fixed income markets, under the guidance of senior portfolio managers.This position is intended for a developing portfolio manager with a strong foundation in fixed income markets and a growing understanding of insurance investment frameworks. The role combines hands‐on portfolio analytics and execution with increasing responsibility for client support, cross‐sector coordination, and independent judgment.## ## Key Responsibilities### ### Portfolio Construction & Management Support* Support the design, implementation, and ongoing management of multi‐sector fixed income portfolios for life and P&C insurance clients, aligned with liability profiles, capital objectives, liquidity needs, and risk tolerances.* Assist in translating investment guidelines, ALM targets, and regulatory constraints into portfolio construction inputs, including sector allocation recommendations, structure selection, and risk positioning.* Execute portfolio rebalancing, cash deployment, turnover management, and trade implementation in coordination with senior portfolio managers, trading desks, and sector teams.* Perform relative value analysis across public and private fixed income asset classes, incorporating spread, capital efficiency, liquidity, and downside risk considerations.### ### Insurance Frameworks & Portfolio Surveillance* Apply working knowledge of insurance regulatory and accounting frameworks, including NAIC RBC, statutory accounting (SAP), and U.S. GAAP, to portfolio analysis and reporting.* Monitor portfolios for guideline compliance, concentration limits, capital usage, and performance attribution; escalate issues and recommendations to senior portfolio managers as appropriate.* Support portfolio surveillance, stress testing, and risk reporting processes used across insurance mandates.* Assist in maintaining and enhancing portfolio analytics, dashboards, and reporting tools.### ### Client & Stakeholder Support* Support senior portfolio managers in servicing insurance clients, including preparation of investment reviews, portfolio commentary, ad hoc analyses, and responses to client inquiries.* Participate in client meetings, investment committee discussions, and due diligence sessions, contributing analytical insights and portfolio detail.* Assist with RFP responses, pitch materials, and the development of proposed insurance investment solutions.### ### Cross‐Functional Coordination & Development* Coordinate investment activity across asset sector teams to support portfolio objectives and timely execution.* Work closely with risk, operations, accounting, compliance, and data teams to resolve portfolio, reporting, or data issues.* Mentor and collaborate with analysts, contributing to team knowledge‐sharing and analytical rigor.* Identify opportunities to improve portfolio construction workflows, analytics, and automation as experience and responsibility grow.## ## Qualifications & Experience* Bachelor’s degree in Finance, Economics, Accounting, Mathematics, Engineering, or a related quantitative discipline required.* Approximately 4–7 years of relevant experience in fixed income portfolio management, portfolio analytics, or related investment roles; insurance company general account experience preferred but not required.* Solid foundation in public and private fixed income markets, including corporate credit, securitized products, and structured investments.* Working knowledge of insurance investment considerations, including NAIC RBC, statutory and GAAP accounting, and asset‐liability management concepts.* Progress toward or completion of the CFA designation strongly preferred.* Strong analytical and quantitative skills, with the ability to evaluate risk, return, and capital trade‐offs.* Clear written and verbal communication skills, with the ability to present analyses to senior team members and clients.* Collaborative, detail‐oriented professional with a strong work ethic and desire to grow into a senior portfolio management role.****Compensation Pay Disclosure:****Voya is committed to pay that’s fair and equitable, which means comparable pay for comparable roles and responsibilities.The below annual base salary range reflects the expected hiring range(s) for this position in the location(s) listed. In addition to base salary, Voya offers incentive opportunities (i.e., annual cash incentives, sales incentives, and/or long-term incentives) based on the role to reward the achievement of annual performance objectives. Please note that this salary information is solely for candidates hired to perform work within one of these locations, and refers to the amount Voya Financial is willing to pay at the time of this posting.Actual compensation offered may vary from the posted salary range based upon the candidate’s geographic location, work experience, education, licensure requirements and/or skill level and will be finalized at the time of offer. Salaries for part-time roles will be prorated based upon the agreed upon number of hours to be regularly worked.$130,000 - $150,000****Be Well. Stay Well.****Voya provides the resources that can make a difference in your lives. To us, this means thriving physically, financially, socially and emotionally. Voya benefits are designed to help you do just that. That’s why we offer an array of plans, programs, tools and resources with one goal in mind: To help you and your family be well and stay well.****What We Offer***** Health, dental, vision and life insurance plans* 401(k) Savings plan – with generous company matching contributions (up to 6%)* Voya Retirement Plan – employer paid cash balance retirement plan (4%)* Tuition reimbursement up to $5,250/year* Paid time off – including 20 days paid time off, nine paid company holidays and a flexible Diversity Celebration Day.* Paid volunteer time — 40 hours per calendar year*Learn more about*****Critical Skills****At Voya, we have identified the following critical skills which are key to success in our culture:* ****Customer Focused**:** Passionate drive to delight our customers and offer unique solutions that deliver on their expectations.* ****Critical Thinking**:** Thoughtful process of analyzing data and problem solving data to reach a well-reasoned solution.* ****Team Mentality**:** Partnering effectively #J-18808-Ljbffr Voya Financial, Inc.

Vacancy posted 2 days ago
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