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Fixed Income Portfolio Manager Jobs in Quebec (NOW HIRING)

Analyze and understand business requirements, functions, and processes within the fixed income and ... They must be adept at managing business client expectations in a dynamic, time-sensitive ...

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Fixed Income Portfolio Manager information

See Quebec salary details

$28K

$105.3K

$193K

How much do fixed income portfolio manager jobs pay per year?

As of Jun 8, 2026, the average yearly pay for fixed income portfolio manager in Quebec is $105,315.00, according to ZipRecruiter salary data. Most workers in this role earn between $67,500.00 and $145,000.00 per year, depending on experience, location, and employer.

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

To thrive as a Fixed Income Portfolio Manager, you need strong analytical skills, deep understanding of fixed income markets, and typically a degree in finance, economics, or a related field, often supplemented by a CFA designation. Proficiency with financial modeling tools such as Bloomberg Terminal, Excel, and risk management systems is commonly required. Exceptional decision-making, attention to detail, and clear communication are vital soft skills for managing client expectations and collaborating with team members. These capabilities ensure effective portfolio construction, risk mitigation, and achievement of client investment objectives in a complex market environment.

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

AspectFixed Income Portfolio ManagerBond Analyst
Primary RoleOversees and manages fixed income investment portfolios to meet client objectivesResearches, analyzes, and evaluates individual bonds and fixed income securities
Required CredentialsTypically CFA, Series 7/63, and relevant finance certificationsOften CFA, Series 7/63, and strong analytical background
Work EnvironmentAsset management firms, investment banks, or institutional investorsResearch firms, investment banks, or asset management companies
FocusPortfolio performance, risk management, and client objectivesSecurity analysis, credit ratings, and bond valuation

While both roles require strong analytical skills and relevant certifications, the Fixed Income Portfolio Manager focuses on managing entire portfolios and client strategies, whereas the Bond Analyst specializes in analyzing individual bonds to inform investment decisions.

How does a Fixed Income Portfolio Manager typically collaborate with research analysts and traders to optimize portfolio performance?

Fixed Income Portfolio Managers work closely with research analysts to assess credit quality, market trends, and macroeconomic factors that may impact portfolio holdings. They rely on analysts for in-depth insights into issuers and sectors, enabling informed investment decisions. Collaboration with traders is essential for efficient execution of buy and sell orders, ensuring that trades are conducted at favorable prices while maintaining compliance with investment guidelines. This teamwork helps managers react quickly to market changes and optimize the portfolio’s risk-return profile.

What does a Fixed Income Portfolio Manager do?

A Fixed Income Portfolio Manager is responsible for managing investment portfolios that primarily consist of bonds and other fixed income securities. Their role involves analyzing market trends, evaluating credit risks, and selecting securities that meet clients' investment goals and risk tolerance. They continuously monitor portfolio performance, make buy or sell decisions, and adjust strategies based on changing economic conditions. The goal is to maximize returns while minimizing risk through careful asset selection and diversification.
What are popular job titles related to Fixed Income Portfolio Manager jobs in Quebec? For Fixed Income Portfolio Manager jobs in Quebec, the most frequently searched job titles are:
What job categories do people searching Fixed Income Portfolio Manager jobs in Quebec look for? The top searched job categories for Fixed Income Portfolio Manager jobs in Quebec are:

Director and Portfolio Manager -Fixed Income

HollisWealth

Montreal, QC • Hybrid

Full-time

Retirement, PTO

This job post has expired today. Applications are no longer accepted.


Job description

Job Description

Director and Portfolio Manager - Fixed Income

Build the future with us

At iAGMA, a subsidiary of iA Financial Group, you will have the opportunity to advance your career in a collaborative, performance-driven environment. Our passionate teams work every day to position iAGMA among the most competitive portfolio managers in the market.

Reporting directly to the Senior Director and Portfolio Manager, the Portfolio Manager, Fixed Income plays a key role in developing and executing iAGMA's investment strategy, in alignment with established investment policies and performance objectives.

You will act as a subject matter expert within the Interest Rates team and work closely with the Corporate Bonds team to contribute to the management and implementation of strategies for approximately 16 portfolios totaling $8B in assets under management. You will also be responsible for managing fixed income investment funds.

This role offers an excellent opportunity to showcase your skills and fully leverage your potential within a supportive and trusted organization. People and their development are at the heart of our priorities, fostering an environment that encourages collaboration and innovation.

What you'll accomplish with us

As Director and Portfolio Manager - Fixed Income, you will be central to our mission.

Key responsibilities include:

  • Generate alpha through relative value (RV) analysis within fixed income portfolios

  • Analyze complex investment opportunities from external partners

  • Monitor, analyze, and manage multiple risk indicators and portfolio constraints

  • Synthesize data from various sources to support portfolio reviews and establish macroeconomic and interest rate base scenarios

  • Manage investment fund cash flows

  • Identify and manage key portfolio performance drivers

  • Develop models and tools to enhance investment decision-making

  • Perform scenario analysis and stress testing on portfolios

  • Review and update investment policies for various clients

  • Stay current on regulatory changes impacting investment activities

  • Prepare quarterly portfolio reviews and performance updates for internal and external clients

  • Present the Fixed Income team's market outlook in committees and cross-functional meetings

  • Interact with external vendors providing analytics, reporting, and related services, and build strong, productive partnerships

  • Develop, coach, and mentor team analysts

  • Optimize, monitor, document, and continuously improve portfolio management processes

What could accelerate your success in this role
We're looking for someone who:

  • Has a minimum of 7 years of progressive experience in a similar role within a financial institution, ideally in the insurance industry

  • Holds a Bachelor's degree in Finance, Economics, Actuarial Science, Mathematics, Computer Science, or a related field, or a Master's degree in a finance-related discipline (an asset)

  • Holds a professional designation (CFA or CIM)

  • Is recognized for strong collaboration and team spirit

  • Demonstrates extensive experience in fixed income portfolio management

  • Is known for strong analytical and problem-solving skills with exceptional attention to detail

  • Shows initiative and autonomy, with excellent time management and organizational skills

  • Has a strong interest in financial markets and macroeconomic dynamics

  • Possesses a good understanding of financial institution operations and best practices

  • Has a proven ability to create, write, and present clear and compelling investment and strategic documents

  • Has experience with Python, data warehouses, analytics, and reporting tools (a strong asset)

  • Is fluent in French and has an advanced level of English, as the role involves regular communication and presentations with internal and external clients across Canada on a weekly basis

Why you'll love working with us

  • A work environment where learning and development merge with a collective pursuit of excellence;

  • A healthy, safe, fair, and inclusive environment where potential can be freely expressed and developed;

  • The opportunity to work in a hybrid environment, supported by flexibility and access to inspiring and innovative workspaces;

  • Competitive benefits: Flexible group insurance, competitive pension plan, stock purchase plan, vacation and wellness/personal development days, telemedicine, employee and family assistance program, ergonomic furniture program, performance bonus, discounts on iA products, and much more!

Apply now and get ahead of your career, where your talent really belongs!

Still unsure about applying?
At iA, we believe in potential and value diverse experiences. If this role inspires you, go ahead and apply - your place might be with us, and we want to get to know you!

Location(s)Montreal / 1981 McGill College AvenueOther Possible Location(s)Quebec / 1080, Grande Allee West
CompanyIndustrial Alliance Investment Management Inc.Posting End Date2026-06-08Company Overview

iA Financial Group* is the strength of a company with a human side, with its over 8,000 employees. Together, we have earned the trust of our more than four million clients and 25,000 advisors who have chosen us for their insurance, savings, and wealth management.

With over $200 billion in assets and half a billion invested in technological innovation, we're a key player in the financial services industry in Canada and the United States. The secret to our success? Investing in you, one person at a time. Because, for over 125 years, we have believed that it's by supporting our employees and surrounding ourselves with the most reputable leaders in the industry, we will continue to innovate.

At iA, we're invested in you.

* iA Financial group includes of the following entities: iA Services financiers, iA assurance auto et habitation, iA Gestion privee de patrimoine, PPI Management, Investia, iA Gestion de placements, Prysm, iA Clarington, Michel Rheaume et associes, Garanties Nationales, WGI Manufacturing, WGI Service Plan Division, Lubrico, iA Financement auto Our Commitment to Diversity and Inclusion

At iA Financial Group, we support and celebrate diversity. We strive to provide a workplace that is recognized as inclusive for all, regardless of ethnic origin, nationality, language, religious beliefs, gender, sexual orientation, age, marital status, family situation, or physical or mental disability.

Please note that if you need help or assistance to make the recruitment process more accessible for you, please Contact us here. Someone from our team will be happy to assist you with your needs.