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Director Fixed Income Portfolio Manager Jobs in Ohio

Meeder has been managing short and intermediate-term fixed income public sector portfolios for over 30 years, serving more than 350 public entities across the country. The short term and fixed income ...

For those aligned to the Investment Portfolio function, experience with fixed income portfolio management and analysis with emphasis on mortgage backed securities required. * Financial services ...

For those aligned to the Investment Portfolio function, experience with fixed income portfolio management and analysis with emphasis on mortgage backed securities required. * Financial services ...

The CAPEX and Portfolio Manager oversees all 15 plants and collaborates closely with Plant Managers ... project teams with fixed asset evaluation and the initiation of depreciation processes.

The CAPEX and Portfolio Manager oversees all 15 plants and collaborates closely with Plant Managers ... project teams with fixed asset evaluation and the initiation of depreciation processes.

The CAPEX and Portfolio Manager oversees all 15 plants and collaborates closely with Plant Managers ... project teams with fixed asset evaluation and the initiation of depreciation processes.

Showing results 21-40

Director Fixed Income Portfolio Manager information

What is the difference between Director Fixed Income Portfolio Manager vs Fixed Income Analyst?

AspectDirector Fixed Income Portfolio ManagerFixed Income Analyst
ResponsibilitiesOversees entire fixed income portfolios, makes strategic investment decisions, manages teamsResearches and analyzes fixed income securities, provides recommendations
Required CredentialsTypically CFA, advanced degrees, extensive experienceOften CFA or related certifications, relevant finance degrees
Work EnvironmentSenior management, client-facing, strategic planningResearch-focused, analytical, supporting portfolio managers
Industry UsageAsset management firms, investment banks, pension fundsResearch firms, asset management, investment banks

The main difference between a Director Fixed Income Portfolio Manager and a Fixed Income Analyst lies in their scope of responsibilities. The portfolio manager leads investment strategies and manages portfolios, while the analyst focuses on researching securities to support investment decisions. Both roles require strong analytical skills and relevant certifications, but the manager has a broader strategic and leadership role.

Are director fixed income portfolio managers paid well?

Director fixed income portfolio managers typically earn high salaries due to their seniority and expertise in managing bond portfolios. Compensation often includes base salary, bonuses, and performance incentives, reflecting the complexity and responsibility of the role. Salaries can vary based on experience, firm size, and geographic location but are generally considered lucrative within the finance industry.

What does a director of fixed income portfolio management do?

A director of fixed income portfolio management oversees investment strategies for bond and debt securities, managing a team to optimize returns while controlling risk. They analyze market trends, assess credit quality, and use financial tools to make informed investment decisions, often requiring strong analytical skills and industry certifications like the CFA. They typically work in a financial institution or asset management firm and may be involved in client communication and compliance activities.

What does a director fixed income portfolio manager do?

A director fixed income portfolio manager oversees investment strategies for fixed income securities, such as bonds, to meet clients' financial goals. They analyze market trends, assess risk, and make buy or sell decisions, often using financial modeling tools and requiring relevant certifications like the CFA. Their role involves managing portfolios, monitoring performance, and collaborating with analysts and clients to optimize returns within risk parameters.
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Infographic showing various Director Fixed Income Portfolio Manager job openings in Ohio as of August 2026, with employment types broken down into 80% Full Time, 19% Part Time, and 1% Contract. Highlights an 84% Physical, 3% Hybrid, and 13% Remote job distribution.

Full-time

Re-posted 11 days ago


Job description

Meeder Investment Management is an employee-owned firm that has helped clients successfully reach their financial goals since 1974. Located in Dublin, Ohio, Meeder has over 100 professionals dedicated to serving the financial needs of individuals, corporations, and government entities, with over $25 billion in assets under management, advisement, and administration.
Meeder associates enjoy a dynamic working environment that is built on our five core values: Integrity, Passion, Discipline, Excellence, and Results. To foster these core values, we look for candidates who are team-oriented, resourceful, and energetic and want to make an impact on a thriving firm.
Meeder has been managing short and intermediate-term fixed income public sector portfolios for over 30 years, serving more than 350 public entities across the country. The short term and fixed income portfolios include money market funds, local government investment pools (LGIPS) to customized separately managed account solutions. Our team works with operating funds, bond proceeds, insurance and capital reserves, and other funds to structure portfolios to meet client objectives.
This position is a member of the Meeder Public Funds Credit team and a member of the Credit Committee, working closely with others in a dynamic and collaborative work environment. The ideal candidate will have an understanding the fundamental credit analysis of fixed income issuers as well as the analysis of the macroeconomic environment.
Primary Responsibilities:
  • Fundamental credit analysis of approved and proposed corporate issuers through due diligence.
  • Sector and issuer research, developing and conducting proprietary analysis, preparing written recommendations and presenting before credit committee.
  • Prepare written reports for new initiations and ongoing credit assessments.
  • Interaction with the portfolio managers and credit team to determine appropriate investment counterparties, concentration limits, and evaluate internal risk policies.
  • Manage credit exposure reporting process, across corporate issuers and trading counterparts.
  • Ad hoc projects may be required on occasion.

Critical Success Factors:
  • Fiduciary and client-oriented mindset.
  • Ability to analyze large amounts of data and distill findings.
  • Strong intellectual curiosity, initiative, and time management skills.
  • High level of integrity and strong ethical standards.
  • Excellent communication skills and ability to work with other team members toward a common goal.
  • Strong teamwork skills required.
  • High-level of initiative.
  • Accuracy and attention to detail.

Skills Required:
  • Bachelor's degree in Finance, Economics, or related field, required.
  • 2-3 years of experience in investment analysis or completion of CFA level 1.
  • Proficiency in, Bloomberg, Morning Star and other research/data compilation tools preferred.
  • Advanced knowledge of Microsoft Office products.
  • Strong presentation skills to a diversified audience.