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Quantitative Portfolio Solutions & Analytics Specialist

Pubblicato il 09-08-2026 - Generali in Bardi

Within our Group Head Office - Global Investment Management (GIM) global line, we are looking for a Portfolio Solutions & Analytics specialist to join the Investment Solutions & Portfolio Analytics team.
The Group CIO function is accountable for the investment strategy and performance across all asset classes of approximately € 360bn of general account assets belonging to Generali Group insurance companies located in 60 different countries.
The job holder reports to the head of Investment Solutions & Portfolio Analytics and will be part of a team that acts as the Investment Management R&D; center of the Global Investment Management function, interacting with central and local investment team members reporting to the different Local Chief Investment Officers.
Sia tra i primi a candidarsi: legga la panoramica completa del ruolo qui sotto, quindi invii la sua candidatura per essere preso/a in considerazione.
Key responsibilities of the role will include:
Enhance and maintain the core optimization tool (Group Portfolio Solutions Platform) used for Strategic Asset Allocation, Portfolio Construction, and Tactical Asset Allocation across the Group, strengthening modules for portfolio optimization, asset allocation, KPI & KRI assessment, reporting pipelines, and overall system reliability
Design and develop new features to support business needs, such as portfolio benchmarking, drill-down portfolio analytics, performance analysis, stress testing, scenario analysis as well as integration of statistical/machine learning application to investment management activities
Translate investment requirements into robust, maintainable technical solutions
Evaluate and adopt best-in-class technologies, frameworks, and architectural patterns to improve scalability, automation, data quality, and performance.
Refactor legacy components when needed
Work closely with other teams to ensure smooth development processes,



proper system integration, secure deployment, and alignment with Group governance and compliance standards
RequirementsOur ideal candidate will meet the following requirements:
Essential Qualifications & Technical Skills:
Master's degree in quantitative finance, engineering or other quantitative subjects
Minimum 3 years of professional experience as a quant and/or data scientist
Knowledge of finance/investments management topics and previous experience in the asset/investment management industry
Proficiency in Python, including key librarires (e.g. Pandas, NumPy, FastAPI/Flask, etc.) and the ability to build reliable APIs and modular services
Strong knowledge of SQL (e.g. PostgreSQL or similar)
Proficiency in a front-end framework such as Angular or React
Practical experience building automation for reporting, data quality checks, or workflow orchestration
Familiarity with vector databases, secure integration in enterprise environment as well as knowledge of Azure or AWS services is a plus
Being CFA and/or CAIA Charterholder or candidate is a plus
Fluency in English is a prerequisite.
Knowledge of other languages is a plus
Soft Skills:
Proactive and strong team working oriented
Ability to work autonomously and under pressure
Ability to work in an international context
Ability to formulate and solve problems, independent thinking and entrepreneurship mindset
Company ProfileGenerali is a major player in the global insurance industry – a strategic and highly important sector for the growth, development and welfare of modern societies.
Over almost 200 years, we have built a multinational Group that is present in more than 60 countries, with 470 companies and nearly 80,000 employees.
xysqume Our Group aims to become the standard bearer and industry leader in the European retail insurance market, building on our existing base of 50 million retail clients, out of an overall total of 72 million.
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