Manage and ensure the consistency of the PNL, Market, Liquidity and Credit Risks, and Accounting ... GBTO/PRE/CFI provides Fixed Income market risk calculators to our partners on Rates and FX. X-ONE ...
Manage and ensure the consistency of the PNL, Market, Liquidity and Credit Risks, and Accounting ... GBTO/PRE/CFI provides Fixed Income market risk calculators to our partners on Rates and FX. X-ONE ...
Manage and ensure the consistency of the PNL, Market, Liquidity and Credit Risks, and Accounting ... GBTO/PRE/CFI provides Fixed Income market risk calculators to our partners on Rates and FX. X-ONE ...
Manage and ensure the consistency of the PNL, Market, Liquidity and Credit Risks, and Accounting ... GBTO/PRE/CFI provides Fixed Income market risk calculators to our partners on Rates and FX. X-ONE ...
As part of the Capital Markets Operational Risk Management (ORM) team, this role is responsible for ... Knowledge of Global Markets products (Equities and Fixed Income) * Understanding of risk frameworks ...
As part of the Capital Markets Operational Risk Management (ORM) team, this role is responsible for ... Knowledge of Global Markets products (Equities and Fixed Income) * Understanding of risk frameworks ...
As part of the Capital Markets Operational Risk Management (ORM) team, this role is responsible for ... Knowledge of Global Markets products (Equities and Fixed Income) * Understanding of risk frameworks ...
As part of the Capital Markets Operational Risk Management (ORM) team, this role is responsible for ... Knowledge of Global Markets products (Equities and Fixed Income) * Understanding of risk frameworks ...
Bilingual Associate/Vice-President - Corporate Risk Solutions Group
Montreal, QC · On-site
CA$100K - CA$160K/yr
Reporting to Managing Director of Corporate Risk Solutions responsibilities of this role include ... Equities, Fixed Income and FX to align with our strategic objectives Job Requirements Work ...
Bilingual Associate/Vice-President - Corporate Risk Solutions Group
Montreal, QC · On-site
CA$100K - CA$160K/yr
Reporting to Managing Director of Corporate Risk Solutions responsibilities of this role include ... Equities, Fixed Income and FX to align with our strategic objectives Job Requirements Work ...
Contribution to project management and users relationship management Must Have: * Good knowledge on financial products (Fixed Income, Equities, Corporate Actions, etc) * Experience in investment ...
Contribution to project management and users relationship management Must Have: * Good knowledge on financial products (Fixed Income, Equities, Corporate Actions, etc) * Experience in investment ...
Problem management for wide-scale service issues, including trade and margin analysis, a broad set ... Strong product knowledge - Equities, Options, Futures, Options on Future, FX, and Fixed income
Problem management for wide-scale service issues, including trade and margin analysis, a broad set ... Strong product knowledge - Equities, Options, Futures, Options on Future, FX, and Fixed income
Good knowledge on financial products (Fixed Income, Equities, Corporate Actions, etc) * Familiar with excel formula for data management * Experience in investment banking * Experience with external ...
Good knowledge on financial products (Fixed Income, Equities, Corporate Actions, etc) * Familiar with excel formula for data management * Experience in investment banking * Experience with external ...
Trade Support Analyst
Montreal, QC · On-site
... management and securities. Our teams are responsible for controlling trading activities across multiple trading desks across Fixed income, Rates, Treasury and Credit Bonds. In this context, and in ...
Trade Support Analyst
Montreal, QC · On-site
... management and securities. Our teams are responsible for controlling trading activities across multiple trading desks across Fixed income, Rates, Treasury and Credit Bonds. In this context, and in ...
Relationship Manager, Intermediary Sales
Montreal, QC · Hybrid
CA$135K - CA$175K/yr
... fixed income offered to institutional and intermediary clients. The Relationship Manager is ... responsible for developing and managing relationships to drive asset growth across the firm ...
Relationship Manager, Intermediary Sales
Montreal, QC · Hybrid
CA$135K - CA$175K/yr
... fixed income offered to institutional and intermediary clients. The Relationship Manager is ... responsible for developing and managing relationships to drive asset growth across the firm ...
Trade Support Analyst
Montreal, QC · On-site
... management and securities. Our teams are responsible for controlling trading activities across multiple trading desks across Fixed income, Rates, Treasury and Credit Bonds. In this context, and in ...
Trade Support Analyst
Montreal, QC · On-site
... management and securities. Our teams are responsible for controlling trading activities across multiple trading desks across Fixed income, Rates, Treasury and Credit Bonds. In this context, and in ...
... the Managing Director of Electronic Trading. You will gain hands-on exposure to FX and Fixed Income electronic trading and the systems that power pricing, execution, and analytics. Prerequisites
... the Managing Director of Electronic Trading. You will gain hands-on exposure to FX and Fixed Income electronic trading and the systems that power pricing, execution, and analytics. Prerequisites
... the Managing Director of Electronic Trading. You will gain hands-on exposure to FX and Fixed Income electronic trading and the systems that power pricing, execution, and analytics. Prerequisites
... the Managing Director of Electronic Trading. You will gain hands-on exposure to FX and Fixed Income electronic trading and the systems that power pricing, execution, and analytics. Prerequisites
... fixed income, structured, and financing products. * Instruct margin calls, calculate interest, and ... Manage collateral disputes, including reconciliation of trade and MTM discrepancies, investigation ...
... fixed income, structured, and financing products. * Instruct margin calls, calculate interest, and ... Manage collateral disputes, including reconciliation of trade and MTM discrepancies, investigation ...
Senior C# Developer - Financial Services
Montreal, QC · Hybrid
CA$80 - CA$100/hr
Participating in cross-dev teams tasks (release management, regression checker, others ... classes (rates, FX, fixed income, structured products) is beneficial but not mandatory.
Quick apply
Senior C# Developer - Financial Services
Montreal, QC · Hybrid
CA$80 - CA$100/hr
Participating in cross-dev teams tasks (release management, regression checker, others ... classes (rates, FX, fixed income, structured products) is beneficial but not mandatory.
... Fixed Income, Futures and Currencies & Commodities structuring capabilities with the objective of providing investors with one integrated multi-asset market solutions team. The business uses an ...
... Fixed Income, Futures and Currencies & Commodities structuring capabilities with the objective of providing investors with one integrated multi-asset market solutions team. The business uses an ...
... Fixed Income, Futures and Currencies & Commodities structuring capabilities with the objective of providing investors with one integrated multi-asset market solutions team. The business uses an ...
... Fixed Income, Futures and Currencies & Commodities structuring capabilities with the objective of providing investors with one integrated multi-asset market solutions team. The business uses an ...
Foundational knowledge of Fixed Income, FX, or other asset classes; familiarity with Fund Transfer Pricing and Asset Liability Management concepts. * Project management certification or coursework.
Foundational knowledge of Fixed Income, FX, or other asset classes; familiarity with Fund Transfer Pricing and Asset Liability Management concepts. * Project management certification or coursework.
Problem management for wide-scale service issues, including trade and margin analysis, a broad set ... Strong product knowledge - Equities, Options, Futures, Options on Future, FX, and Fixed income
Quick apply
Problem management for wide-scale service issues, including trade and margin analysis, a broad set ... Strong product knowledge - Equities, Options, Futures, Options on Future, FX, and Fixed income
... a seasoned portfolio manager with over 25 years of experience. Visit our website at: www ... This is a fully on‑site position with a fixed schedule from Monday to Friday, 8:00 a.m. to 5:00 p ...
... a seasoned portfolio manager with over 25 years of experience. Visit our website at: www ... This is a fully on‑site position with a fixed schedule from Monday to Friday, 8:00 a.m. to 5:00 p ...
Fixed Income Portfolio Manager information
See Quebec salary details
$28K - $43K
5% of jobs
$43K - $58K
13% of jobs
$65.8K is the 25th percentile. Wages below this are outliers.
$58K - $73K
14% of jobs
$73K - $88K
11% of jobs
The median wage is $93.4K / yr.
$88K - $103K
22% of jobs
$103K - $118K
5% of jobs
$118K - $133K
5% of jobs
$133.3K is the 75th percentile. Wages above this are outliers.
$133K - $148K
12% of jobs
$148K - $163K
5% of jobs
$163K - $178K
5% of jobs
$178K - $193K
3% of jobs
$28K
$105.3K
$193K
How much do fixed income portfolio manager jobs pay per year?
What are the key skills and qualifications needed to thrive as a Fixed Income Portfolio Manager, and why are they important?
What is the difference between Fixed Income Portfolio Manager vs Bond Analyst?
| Aspect | Fixed Income Portfolio Manager | Bond Analyst |
|---|---|---|
| Primary Role | Oversees and manages fixed income investment portfolios to meet client objectives | Researches, analyzes, and evaluates individual bonds and fixed income securities |
| Required Credentials | Typically CFA, Series 7/63, and relevant finance certifications | Often CFA, Series 7/63, and strong analytical background |
| Work Environment | Asset management firms, investment banks, or institutional investors | Research firms, investment banks, or asset management companies |
| Focus | Portfolio performance, risk management, and client objectives | Security 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?
What does a Fixed Income Portfolio Manager do?
Other
Posted 5 days ago
Job description
GBTO provides the most reliable, flexible and efficient Risk & Finance platform and delivers the shared market data repository for our partners in MARK, RISQ & DFIN to:
Meet the strategic business needs of GBIS.
Meet our regulatory commitments and secure the provision of reports to regulators.
Optimize capital requirements.
Distribute certified data.
Manage and ensure the consistency of the PNL, Market, Liquidity and Credit Risks, and Accounting and Finance for the Bank
Contribute to the digital transformation of GBIS.
GBTO/PRE/CFI provides Fixed Income market risk calculators to our partners on Rates and FX. X-ONE / Riskone is a key application where pricing curves definition are used to project the risk in the calculators. You will work on highly visible and businesscritical systems that price financial products, distribute realtime market data, and support trading activities in a demanding environment characterized by performance, low latency, and reliability constraints.
This role combines feature development, test framework engineering and L3 support critical to delivering robust, highquality pricing and reliable solutions.
Your Responsibilities
Design and develop pricing features aligned with business and technical roadmaps
Participate in modernization initiatives, including .NET to .NET Core transformations
Contribute to performancecritical and lowlatency system components
Participating in key strategic projects to support the business and the bank ambition
Design, refactor, and optimize automated test frameworks to ensure
Functional coverage of pricing feature
Improved stability and execution performance
Adoption of testing best practices
Develop and maintain unit and nonregression tests
Collaborate closely with Traders, Sales, and IT teams across the pricing chain
Work on a largescale codebase
Participating in production activities and application support
Competencies required
- Strong experience in C# / .NET / .NET Core
- Solid understanding of software design, testing, and performance optimization
- Knowledge in Finance, especially market risks process and fixed income products
- Ability to work with tight deadlines
- Organized, autonomous, and collaborative, with a strong sense of ownership
- Collaboration and team spirit
- Master's degree in computer science, engineering, or equivalent job experience
Technical Environment
- C#, .NET, .NET Core
- REST APIs
- CI/CD pipelines
- GitHub, Jenkins, JIRA
- Sonar
- MongoDB, MySQL
- RabbitMQ
- Elasticsearch & Kibana
- High performance and low latency systems
- AI tools
Prior work experience required:
- At least 2 years of Market Risk and PnL experience at a large bank or Insurance
- At least 3 years of experience as a developer
Why Join Us?
- Work at the heart of a mission critical pricing ecosystem
- Tackle high impact technical challenges in real time financial systems
- Collaborate daily with business and IT experts in an international environment
- Grow your skills in a culture that values innovation, reliability, and engineering excellence
- Build a long term career within a leading global financial institution
LANGUAGE:
Ability to communicate in English, both orally and in writing, is a requirement as the person in this position will need to collaborate regularly with colleagues and partners in the United States.
Due to US Federal Securities law that may apply to this position, candidates who will apply for this position may be required to submit to an enhanced background screening, including the collection of their fingerprints by a third-party vendor selected by the Financial Industry Regulatory Authority ("FINRA").