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Fixed Income Analyst Jobs in Ohio (NOW HIRING)

Portfolio Analyst

Brooklyn, OH · Hybrid

$52K - $80K/yr

The Portfolio Analyst will be responsible for working with and assisting members of the Fixed ... Assists the Fixed Income Portfolio Management team in the implementation of internally managed ...

Portfolio Analyst

Brooklyn, OH · On-site

$52K - $80K/yr

The Portfolio Analyst will be responsible for working with and assisting members of the Fixed ... Assists the Fixed Income Portfolio Management team in the implementation of internally managed ...

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Fixed Income Analyst information

See Ohio salary details

$41.4K

$103.3K

$185.4K

How much do fixed income analyst jobs pay per year?

As of Aug 5, 2026, the average yearly pay for fixed income analyst in Ohio is $103,336.00, according to ZipRecruiter salary data. Most workers in this role earn between $68,900.00 and $124,500.00 per year, depending on experience, location, and employer.

What is a fixed income analyst?

Fixed income securities are investments that require a borrower to make a set payment on a regular schedule. A fixed income analyst is a financial professional who analyzes fixed income securities, equity funds, credit, and debt to make investment strategy recommendations. As a fixed income analyst, your job duties include researching current news and trends the financial markets, evaluating debt and fixed income securities, modeling the financial stability of businesses, and preparing reports about your findings. The qualifications for a career as a fixed income analyst are a bachelor’s degree in finance, economics, or a related subject, strong analytical skills, and at least two years of relevant experience in the field.

What are some common challenges a fixed income analyst faces when evaluating bonds in volatile markets?

Fixed Income Analysts often encounter the challenge of accurately assessing bond risks and returns when market conditions are volatile. Rapid changes in interest rates, credit spreads, and macroeconomic indicators can affect bond pricing and portfolio performance. Analysts must stay updated on market news and use advanced modeling techniques to forecast trends, requiring strong analytical skills and attention to detail. Additionally, collaborating closely with portfolio managers and traders is essential to ensure recommendations align with investment strategies during uncertain times.

What are the key skills and qualifications needed to thrive as a fixed income analyst, and why are they important?

To thrive as a Fixed Income Analyst, you need strong analytical skills, a solid understanding of financial markets, and typically a bachelor's degree in finance, economics, or a related field. Proficiency in financial modeling, Bloomberg Terminal, Microsoft Excel, and often CFA certification are highly valued. Attention to detail, effective communication, and the ability to work under pressure are crucial soft skills for success in this role. These competencies are essential for accurately evaluating bond markets, managing risk, and providing actionable investment recommendations.

What is the difference between Fixed Income Analyst vs Equity Analyst?

AspectFixed Income AnalystEquity Analyst
CredentialsFinance degree, certifications like CFAFinance/economics degree, CFA often preferred
Work EnvironmentFinancial institutions, investment firmsAsset management, investment banks
Industry UsageBond markets, debt securitiesStock markets, equity securities
Search/Comparison IntentUnderstanding bond analysis, fixed income strategiesStock valuation, equity research

Fixed Income Analysts focus on bond markets and debt securities, analyzing interest rate risks and creditworthiness. Equity Analysts evaluate stocks and company performance to recommend investments. While both roles require financial analysis skills and certifications like CFA, their focus areas and industries differ significantly.

What are the most commonly searched types of Fixed Income Analyst jobs in Ohio? The most popular types of Fixed Income Analyst jobs in Ohio are:
What are popular job titles related to Fixed Income Analyst jobs in Ohio? For Fixed Income Analyst jobs in Ohio, the most frequently searched job titles are:
Infographic showing various Fixed Income Analyst job openings in Ohio as of July 2026, with employment types broken down into 86% Full Time, 9% Part Time, 1% Temporary, and 4% Contract. Highlights an 86% Physical, 6% Hybrid, and 8% Remote job distribution, with an average salary of $103,336 per year, or $49.7 per hour.

Fixed Income Investment Analyst

Westfield

Westfield Center, OH

Full-time

Posted 7 days ago


Westfield Insurance rating

8.7

Company rating: 8.7 out of 10

Based on 12 frontline employees who took The Breakroom Quiz

70th of 301 rated insurance


Job description

Job Summary

The Investment Analyst, under moderate supervision, provides direct support to assigned Senior Portfolio Manager on fixed income, equity, or alternatives portfolios of all Westfield affiliated companies by performing economic, sector and sub-asset class allocation, recommending specific securities, executing trades, and performing ongoing monitoring of securities and portfolios.

This role is not eligible for visa sponsorship.

Job Responsibilities

  • Provides direct support to assigned Senior Portfolio Manager on fixed income, equity, or alternatives portfolios by performing economic, sector, sub-asset class and individual security or fund research, recommending specific securities, mutual funds, ETFs, limited partnership deals, or direct coinvestment deals, executing trades or agreements, and performing ongoing monitoring of all portfolio investments.

  • Works to define the optimal sub-asset class allocation for each portfolio. Responsible for full life-cycle of investments, including sub-asset class research, portfolio construction, trading, and attribution.

    • Participates in team strategy discussions.  Prepares and presents analysis on assigned sub-asset classes, including fundamental analysis, or interest rate analysis in support of recommendations.

    • Monitors market activity throughout the day, including analysis of market news, issuer and credit spreads, and discussions with industry peers and brokers. Monitors domestic and world situations, analyzing their effect on investments to ensure the successful management of portfolios. 

    • Improves existing investment processes by making them more efficient and effective. Documents processes for business continuity purposes.

  • Determines security selection within asset-class assignment(s).

    • Assesses security credit fundamentals such as yield spreads, ratings, earnings, events, and other drivers to determine impact on price performance and liquidity. Conducts duration and convexity analyses on the portfolio. Assesses equity security fundamentals such as business prospects, earnings growth, price/earnings multiples (P/E), dividend growth and yield, market/company events and other drivers to determine impact on total return potential. Conducts investment and operational due diligence of new and current alternative fund managers. Determines portfolio need by security strategy, historical and target performance, fees, sourcing capabilities and persistence of returns.

    • Derives future expected value of securities and their risk-return profile under normal and shocked adverse scenarios. 

    • Employs multiple valuation methodologies to assess company performance. 

    • Analyzes information related to economic conditions, business environment, financial markets, industry, regulations, and geopolitics for use in making investment decisions.

    • Builds and maintains industry and company-specific models with the goal of understanding the economic drivers of a business.

    • Monitors projected cash (income, excess premium, trading cash, etc.), identifies specific security-level investment decisions, and determines timing of purchases.

    • Generates orders and communicates to brokers for execution.  Monitors executions and allocates trades, as appropriate, based on pre-defined allocation requirements.

  • Monitors, analyzes, reviews, and reports on performance returns, attribution, and risk reporting metrics for securities in investment portfolios and maintains ongoing watch list. 

    • Conducts economic studies to maintain up-to-date information on holdings and recommends additional purchases, sales, or exchanges. 

    • Identifies / monitors various exposures and risks. Escalates to the Senior Portfolio Manager and the Chief Investment Officer when necessary. 

    • Prepares and discusses monthly results with the Senior Portfolio Manager and the Chief Investment Officer. 

    • Works on the annual planning and budgeting process. Performs monthly income variance analysis.

    • Analyzes securities in a loss position quarterly. Produces a rationale and recommendation on whether it should be impaired.

  • Makes regular presentations to the Investment Committee with investment insights and provides a written summary to the Senior Portfolio Manager, the Chief Investment Officer or the Investment Committee as appropriate.

    • Presents sector reviews and updates to the Investment Committee.

    • Periodically presents other reports as required such as those related to ERM, Liquidity, etc.

  • Works on projects assigned by the Senior Portfolio Manager or the Chief Investment Officer. 

  • Supports the management reporting process as requested to ensure high-quality decision support.

  • Manages all stakeholder relationships.  Contributes to the annual assessment of approved broker list.

  • Participates in calls with regulators and external auditors to review portfolio actions, OTTI and other potential investment portfolio impacts.

  • Participates in periodic assessments of third-party advisors, brokers, and technology providers.

  • Travels occasionally in order to perform special assignments, training, industry events, investment/economic research and/or between office locations.

Job Qualifications

  • 2+ years of experience applying quantitative and qualitative analytical skills to financial, investment, credit, securities, portfolio, or research data. 
  • Bachelor's degree in Finance, Economics, Accounting, Engineering, Actuarial Science, Mathematics, Business, or a related field, or equivalent work experience. 

Location 

Hybrid - defined as working three or more days per week in the office

Licenses and Certifications  

  • Chartered Financial Analyst (CFA)

Behavioral Competencies

  • Collaborates
  • Communicates Effectively
  • Customer Focus
  • Decision Quality
  • Nimble Learning

Technical Skills

  • Investment Research 
  • Financial Modeling 

  • Portfolio Reporting 

  • Market Analysis 

  • Bloomberg 

  • Microsoft Office 

  • Trade Support

This job description describes the general nature and level of work performed in this role. It is not intended to be an exhaustive list of all duties, skills, responsibilities, knowledge, etc. These may be subject to change and additional functions may be assigned as needed by management.

Founded in 1848, Westfield is a global leader in property and casualty insurance, delivering superior risk insights and innovative solutions to customers through a diverse portfolio of insurance products. Westfield underwrites commercial, personal, surety, and specialty lines of coverage through a network of leading independent agents and brokers in the United States and specialty products through Lloyd's of London Syndicate 1200. As a mutual insurance company with more than 3,000 employees, Westfield has revenues in excess of $4 billion and more than $10 billion in assets. 

What Westfield Insurance employees say

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Benefits

Hours and flexibility

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