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Fixed Income Analyst Jobs in Ontario (NOW HIRING)

Fixed Income Analytics: Familiarity with fixed income analytics, structured and option-sensitive instruments, liability-aware portfolio analytics and validation requirements. Product & Execution: 5+ ...

New

Fixed Income Analytics: Familiarity with fixed income analytics, structured and option-sensitive instruments, liability-aware portfolio analytics and validation requirements. Product & Execution: 5+ ...

New

Liaise with Marketers, Traders, Documentation Officers' and Analysts to ensure that proper trade ... Good working knowledge of Fixed Income Derivatives trades and processing procedures. * Ability to ...

Proven expertise in fixed income system design and analytics. * Solid understanding of Agile methodologies and product development lifecycle. * Cloud Expertise: Deep, hands-on proficiency with AWS ...

Proven expertise in fixed income system design and analytics. * Solid understanding of Agile methodologies and product development lifecycle. * Cloud Expertise: Deep, hands-on proficiency with AWS ...

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Showing results 1-20

Fixed Income Analyst information

See Ontario salary details

$40K

$91.7K

$221.5K

How much do fixed income analyst jobs pay per year?

As of Aug 16, 2026, the average yearly pay for fixed income analyst in Ontario is $91,744.00, according to ZipRecruiter salary data. Most workers in this role earn between $62,000.00 and $103,500.00 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 Ontario?

The most popular types of Fixed Income Analyst jobs in Ontario are:

What are popular job titles related to Fixed Income Analyst jobs in Ontario?

For Fixed Income Analyst jobs in Ontario, the most frequently searched job titles are:

What job categories do people searching Fixed Income Analyst jobs in Ontario look for?

The top searched job categories for Fixed Income Analyst jobs in Ontario are:

Infographic showing various Fixed Income Analyst job openings in Ontario as of August 2026, with employment types broken down into 46% Full Time, 51% Part Time, and 3% Contract. Highlights an 92% Physical, 1% Hybrid, and 7% Remote job distribution, with an average salary of $91,744 per year, or $44.1 per hour.

Senior Analyst, Core Fixed Income Guelph, Ontario

Addenda Capital Careers

Guelph, ON • Hybrid

Full-time

Re-posted 11 days ago


Job description

Description
Be part of a Socially Responsible Organization
We are a unique asset management firm that stands out for value creation and its pursuit of sustainable wealth for our clients. Thanks to our people's expertise, we can achieve our purpose and participate in the responsible development of our communities.
We manage more than 40 billion dollars in assets and have more than 170 employees spread across our headquarters in Montreal and our offices in Toronto, Guelph, and Regina. We have adopted a hybrid work model that promotes work-life balance as well as a collegiality that sets us apart in the workplace. 
The Investment Sector: The Source of Our Value Creation 
Are you looking to join a team focused on understanding client needs and objectives to maximize their long-term investment success? At Addenda Capital, we combine financial returns with positive societal change. You've come to the right place. 
Reporting to Vice President, Core Fixed Income, this role will support all Core Fixed Income Portfolio Managers, participate in the development of the overall investment strategy for the Core Fixed Income team, have functional focus on monitoring high yield exposures across mandates and support the analysis and risk evaluation of our private funds platform.  Risk monitoring, relative value trade processes and credit research as assigned will also be core responsibilities. In addition, this role will act as a back-up Money Market trader and provide support to the portfolio operations/accounting group, compliance team, client service and business development team, and marketing and communications group as required.
Your responsibilities
  • Work within a team environment to develop the ongoing fixed income strategy for all Addenda Core Fixed Income Investment clients;
  • Participate in weekly tactical fixed income meetings, and quarterly forecast and strategy meetings;
  • Monitor high yield exposures and issuers across mandates;
  • Review, select and monitor private fund (credit, equity, real asset) exposures employed on our private funds platform
  • Support the Money Market Trader, managing and monitoring daily cash flow activities for all Addenda Core Fixed Income Investment clients;
  • Contribute to the corporate credit research process, learning the analysis framework with the intention of providing sector coverage;
  • Provide direction and support to accounting and operations staff on security information and trade issues for the money market and bond portfolios;
  • Contribute to reporting requirements for specific clients and help as needed for all other client reporting;
  • Represent Addenda in varying capacity with the parent company and its affiliates, and within the investment community (e.g. CFA Institute, Investment Dealers).
What you bring
  • A university degree in Business Administration, Finance or related field;
  • 5+ years of relevant experience;
  • CFA designation or currently in the process of obtaining it;
  • Direct experience with high yield debt and private funds an asset;
  • Working knowledge of a broad array of investment markets and practices including securities administration and regulation;
  • Collaborative team player with a knowledge-sharing mindset;
  • Good knowledge of the Microsoft Office suite;
  • Experience with database use and some programming ability (SQL, VBA, Python, C#) an asset.
What sets you apart
  • Excellent interpersonal skills and communication skills, oral and written;
  • You demonstrate a high degree of initiative, and resourcefulness;
  • Work well independently, with great attention to detail;
  • Innovative, proactive, and solutions-oriented with a client focus that leads to better investment decisions;
  • A strong passion for the investment industry.
AI utilization
Addenda does not currently use any AI tools or features as part of the recruitment process to select or evaluate candidates. 
Pay range information
The base salary range for this role is CAD 95,000.00 - 143,000.00 in addition to bonus, health or benefits, and any other discretionary benefits offered at Addenda. Our base salary ranges are based on role, level, and location. Within the range, individual pay is determined by the skills, experience, internal equity and impact you bring to the role. Our talent acquisition advisors can share more during the hiring process.
 
Status: Permanent, Full-time
Vacancy: 1
 
Do you have a genuine interest in this position and meet most of the requirements? Apply now!  We value differences and discussions by creating and maintaining an inclusive, equitable and accessible work environment that fosters collaboration. Let us know what makes you unique and how you will make a difference in the Addenda Capital team.