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Fixed Income Portfolio Manager Remote Jobs in Georgia

The Commercial Portfolio Manager III is responsible for managing assigned portfolio(s) and ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

The Commercial Portfolio Manager III is responsible for managing assigned portfolio(s) and ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

The Commercial Portfolio Manager III is responsible for managing assigned portfolio(s) and ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

We are recruiting for a Senior Portfolio Manager within Qorvo's Integrated Systems Business Unit ... However, we are also open to this position being remote in FL, GA, IA, IN, KS, MI, NC, NH, PA, SC ...

Remote Insurance Sales Representative | Flexible Schedule | Commission-Based This position offers ... Residual income opportunities through client renewals * Unionized position with stock options

Remote Insurance Sales Representative | Flexible Schedule | Commission-Based This position offers ... Residual income opportunities through client renewals * Unionized position with stock options

CFA - Level 1 Tutor

Atlanta, GA · Remote

$18 - $40/hr

... fixed income, derivatives, alternative investments, and portfolio management. Ability to explain time value of money, financial ratio analysis, and the CFA Institute Code of Ethics while preparing ...

CFA - Level 1 Tutor

Johns Creek, GA · Remote

$18 - $40/hr

... fixed income, derivatives, alternative investments, and portfolio management. Ability to explain time value of money, financial ratio analysis, and the CFA Institute Code of Ethics while preparing ...

Remote Insurance Sales Representative | Flexible Schedule | Commission-Based This position offers ... Residual income opportunities through client renewals * Unionized position with stock options

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Fixed Income Portfolio Manager Remote information

How much do fixed income portfolio managers make?

Fixed income portfolio managers typically earn a median annual salary ranging from $80,000 to $150,000, with experienced professionals and those in senior roles earning over $200,000. Compensation often includes bonuses and performance incentives, and requires strong analytical skills and relevant certifications such as CFA.

What is the highest salary for a portfolio manager?

The highest salary for a fixed income portfolio manager can exceed $200,000 annually, with senior and specialized roles earning significantly more, especially in large financial firms or hedge funds. Compensation often includes bonuses and performance incentives, reflecting experience, assets under management, and certifications like CFA.

What are some common challenges faced by Fixed Income Portfolio Managers working remotely, and how can they be effectively addressed?

Fixed Income Portfolio Managers working remotely often face challenges related to real-time market communication, accessing proprietary research, and maintaining seamless collaboration with trading desks and analysts. To address these, it's important to leverage robust digital platforms for secure data access and communication, establish clear protocols for trade execution, and schedule regular virtual meetings with team members. Building strong remote relationships with key stakeholders also helps ensure timely decision-making and alignment on portfolio strategies.

What does a fixed income portfolio manager do?

A fixed income portfolio manager oversees investment portfolios that consist primarily of bonds and other debt securities. They analyze market trends, assess credit risk, and make buy or sell decisions to meet clients' income and risk objectives, often using financial analysis tools and requiring relevant certifications like the CFA. Their work involves monitoring interest rates, economic indicators, and credit ratings to optimize portfolio performance.

What does a Fixed Income Portfolio Manager do when working remotely?

A Fixed Income Portfolio Manager remotely manages investment portfolios that primarily consist of bonds and other fixed income securities. Their responsibilities include analyzing market trends, selecting appropriate securities, monitoring portfolio performance, and making buy or sell decisions to achieve clients' financial goals. They use digital platforms and communication tools to research markets, collaborate with teams, and stay connected with clients, ensuring effective portfolio management from any location.

What are the key skills and qualifications needed to thrive as a Fixed Income Portfolio Manager (Remote), and why are they important?

To thrive as a Fixed Income Portfolio Manager, you need expertise in fixed income securities, portfolio construction, risk management, and typically a degree in finance or a related field, with CFA certification often preferred. Familiarity with Bloomberg Terminal, portfolio analytics platforms, and risk management software is crucial for analyzing market data and executing trades remotely. Strong analytical thinking, effective communication, and decision-making skills set top performers apart when working independently or with distributed teams. These skills and qualifications ensure sound investment decisions, regulatory compliance, and effective client communication in a competitive and remote environment.

How much does a portfolio manager make at JP Morgan fixed income?

A fixed income portfolio manager at JP Morgan typically earns between $100,000 and $200,000 annually, with compensation varying based on experience, performance, and location. Senior managers or those with specialized skills may earn higher salaries and bonuses. Compensation often includes base salary, bonuses, and incentives aligned with investment performance.

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

AspectFixed Income Portfolio Manager RemoteFixed Income Analyst Remote
CredentialsTypically requires CFA, FINRA licenses, or advanced degreesOften requires a bachelor's or master's in finance or related field
Work EnvironmentLeads investment strategies, manages portfolios, interacts with clientsResearches securities, analyzes market data, supports portfolio decisions
Employer & Industry UsageAsset management firms, hedge funds, institutional investorsInvestment banks, asset managers, research firms
Search & Comparison IntentLooking for senior investment roles with decision-making authoritySeeking entry to mid-level research and analysis roles

The main difference between a Fixed Income Portfolio Manager Remote and a Fixed Income Analyst Remote lies in their responsibilities and experience level. Portfolio managers oversee investment strategies and client portfolios, requiring advanced credentials and experience. Analysts focus on researching securities and supporting investment decisions. Both roles are integral to fixed income investing but differ in scope and seniority.

What are popular job titles related to Fixed Income Portfolio Manager Remote jobs in Georgia? For Fixed Income Portfolio Manager Remote jobs in Georgia, the most frequently searched job titles are:
What job categories do people searching Fixed Income Portfolio Manager Remote jobs in Georgia look for? The top searched job categories for Fixed Income Portfolio Manager Remote jobs in Georgia are:
What cities in Georgia are hiring for Fixed Income Portfolio Manager Remote jobs? Cities in Georgia with the most Fixed Income Portfolio Manager Remote job openings:
Infographic showing various Fixed Income Portfolio Manager Remote job openings in Georgia as of June 2026, with employment types broken down into 56% Full Time, 42% Part Time, and 2% Contract. Highlights an 38% Physical, 3% Hybrid, and 59% Remote job distribution.

Commercial Portfolio Mgr III

Huntington

Atlanta, GA • On-site, Remote

Other

Posted yesterday


Job description

Description Summary: The Commercial Portfolio Manager III is responsible for managing assigned portfolio(s) and providing support to Commercial group leader(s), Regional Credit Officer, and Relationship Manager team (RM's) in the areas of credit underwriting, portfolio management, compliance, and monitoring of new and existing loans and customer relationships within the portfolio. Will manage the most complex loan portfolio. Duties & Responsibilities: Manages a complex portfolio of commercial loans and customers in partnership with the assigned relationship manager, group leader, Regional Credit Officer and other stakeholders.

Service, deepen, and retain assigned profitable customer relationships by proactively evaluating and mitigating associated business risks and opportunities. Optimize customer relationships working directly with Relationship Managers to grow fees, deposits, and portfolio revenue. Own primary responsibility for the credit quality and monitoring of Commercial portfolio risks.

Will be responsible for risk rating new credits and ongoing updating of risk grades in assigned portfolio. Responsible for underwriting quality, portfolio administration, and ongoing credit quality of assigned portfolio. Effectively present proposed credit actions in written analysis document and as necessary, verbally to Senior Loan Committee.

Conduct portfolio reviews with senior management and analyze existing portfolio to identify trends and opportunities. Mentors Credit Analysts and less experienced Portfolio Managers to develop required competencies and experience. Performs all other duties as assigned.

Basic Qualifications: Four-year college degree in Finance/Accounting/Economics or equivalent work experience 8+ years of relevant commercial/middle market credit analysis experience or underwriting experience with deals with large exposures and complex loans. Preferred Qualifications: Understanding and utilization of credit skills for credit decision making, monitoring, and managing of a credit through repayment. Strong analytical ability and an understanding of the analysis of commercial financials.

Thorough knowledge of the state and federal laws and compliance regulations for commercial loans. Ability to work under critical time constraints. Strong time management and organizational skills and the ability to perform highly detailed and accurate work on multiple, concurrent tasks.

A high level of verbal and written communication skills to effectively convey credit worthiness and recommendations. Thorough knowledge of various software programs including Word and Excel, and the ability to quickly learn additional systems/software. Strong customer service orientation MBA in Finance or Accounting Formal credit training Prior experience teaching and mentoring less experienced portfolio managers Exempt Status: (Yes = not eligible for overtime pay) (No = eligible for overtime pay) Yes Workplace Type: Office Our Approach to Office Workplace Type Certain positions outside our branch network may be eligible for a flexible work arrangement.

We're combining the best of both worlds: in-office and work from home. Our approach enables our teams to deepen connections, maintain a strong community, and do their best work. Remote roles will also have the opportunity to come together in our offices for moments that matter.

Specific work arrangements will be provided by the hiring team. Huntington is an Equal Opportunity Employer. Tobacco-Free Hiring Practice: Visit Huntington's Career Web Site for more details.

Note to Agency Recruiters: Huntington Bank will not pay a fee for any placement resulting from the receipt of an unsolicited resume. All unsolicited resumes sent to any Huntington Bank colleagues, directly or indirectly, will be considered Huntington Bank property. Recruiting agencies must have a valid, written and fully executed Master Service Agreement and Statement of Work for consideration.

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