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Fixed Income Portfolio Manager Jobs in Boston, MA

Director, Investment Risk

Boston, MA · On-site

$175 - $225/hr

... report portfolio, strategy, and product-level risk exposures across Equity and Fixed Income ... Partner with portfolio managers, analysts, and investment leadership to understand portfolio ...

Showing results 41-60

Fixed Income Portfolio Manager information

See Boston, MA salary details

$40.2K

$109.1K

$203.7K

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

As of Aug 22, 2026, the average yearly pay for fixed income portfolio manager in Boston, MA is $109,138.00, according to ZipRecruiter salary data. Most workers in this role earn between $71,200.00 and $141,200.00 per year, depending on experience, location, and employer.

How does a fixed income portfolio manager 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 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.

What are popular job titles related to Fixed Income Portfolio Manager jobs in Boston, MA?

For Fixed Income Portfolio Manager jobs in Boston, MA, the most frequently searched job titles are:

What job categories do people searching Fixed Income Portfolio Manager jobs in Boston, MA look for?

The top searched job categories for Fixed Income Portfolio Manager jobs in Boston, MA are:

What cities near Boston, MA are hiring for Fixed Income Portfolio Manager jobs?

Cities near Boston, MA with the most Fixed Income Portfolio Manager job openings:

Infographic showing various Fixed Income Portfolio Manager job openings in Boston, MA as of August 2026, with employment types broken down into 100% Full Time. Highlights an 100% In-person job distribution, with an average salary of $109,138 per year, or $52.5 per hour.

Fixed Income Research Associate - Liberty Mutual Investments

Liberty Information Technology Limited

Boston, MA • On-site

$120K - $215K/yr

Full-time

Posted 26 days ago


Job description

Description
The Company
Come build on our integrated platform with industry-leading talent, world-class partners, and freedom to innovate.
Liberty Mutual Investments (LMI) is the investment firm for Liberty Mutual Group (Liberty). With deep expertise in fixed income, equity, and alternative strategies, LMI invests more than $100B of long-term capital globally, and has a team of nearly 300 investment, finance, and operations professionals located in Boston, MA, and New York, NY. LMI has a clear purpose: drive economic growth, build enduring businesses side-by-side with our partners, and generate superior risk-adjusted returns that secure Liberty's promises.
LMI offers the best of both worlds - the look and feel of a boutique investment firm with the reputation and financial strength of a global leader. As the investment firm of a mutual with long-term capital, LMI has a single client mandate. This gives us the freedom to focus on what we do best.
Our portfolio spans a broad spectrum of public and private investments, and we are committed to expanding our capabilities and our toolkit in support of our mission. We invest across diverse asset classes, financial structures, and industries, including real estate, digital infrastructure, healthcare, renewable energy, and technology-with the aim of creating value and powering innovation. We pride ourselves on our extensive network of mutually beneficial partnerships, and we use our substantial influence, capital, and energy to drive towards a better future. #LMI #LI-LMI
The Position
LMI is seeking a talented seasoned Associate to join the Research team within our Leveraged Finance Team.
Responsibilities:
  • Sector expert working independently to provide deep analytical information and high conviction investment recommendations using a combination of top-down sector views and bottom-up fundamental analysis across High Yield, Leveraged Loans and Private Credit.
  • Provide timely interpretation of market developments and implications for coverage universe and portfolio.
  • Contribute positively to portfolio outperformance through security selection, sector positioning, and structuring.
  • Engage with external parties, including borrowers, advisors, and consultants, in execution of due diligence activities.
  • Clear ability to calibrate and evaluate relative and absolute risk return trade-offs in primary and secondary markets.
  • Leverage AI and large language model tools (e.g., Claude) to accelerate research, due diligence, and portfolio surveillance workflows-synthesizing filings, transcripts, and rating agency materials-and to generate novel analytical insights that sharpen credit recommendations and relative value views.
  • Concise written and verbal communication on investment recommendations to Portfolio Managers, Director of Research, Research Team Members, and related Investment Committees.
  • Collaborate with Portfolio Managers, Traders, and other investment analysts to maintain a One Team/One Portfolio approach to investment decision-making, leveraging diverse perspectives to identify and pursue investment opportunities that align with overall portfolio objectives.

Qualifications
Qualifications:
  • Exhibit intellectual curiosity about global markets, asset classes, our organization and industry.
  • Demonstrated deep leveraged finance credit expertise; preferably across both public and private markets.
  • Effective communicator with multiple stakeholders including portfolio managers, investment committees, and senior management.
  • 5 -10 yrs experience as an analyst making successful investment recommendations.
  • Collaborate generously within and across teams, building strong trusting relationships and interacting productively with a broad group of colleagues and investors at all levels.
  • Demonstrated proficiency with-or strong enthusiasm to adopt-AI and large language model tools to augment fundamental credit research; comfort designing prompts, workflows, and structured skills that drive efficiency and analytical edge across the coverage universe.
  • Have a bachelor's degree and relevant experience in global fixed income, MBA & CFA encouraged.

Employees should review all role requirements and apply only for positions for which they are eligible. Hiring processes may vary by country, including differences in procedures, requirements, and timelines. For country-specific details, please consult your local recruiting / HR team.
About Us
Compensation offered is based off a number of factors including skills, experience, education, certifications and location. The full salary range for this role reflects the competitive labor market value for all employees in these positions across the national market and provides an opportunity to progress as employees grow and develop within the role. Some roles at Liberty Mutual have a corresponding compensation plan which may include commission and/or bonus earnings at rates that vary based on multiple factors set forth in the compensation plan for the role.
At Liberty Mutual, our goal is to create a workplace where everyone feels valued, supported, and can thrive. We build an environment that welcomes a wide range of perspectives and experiences, with inclusion embedded in every aspect of our culture and reflected in everyday interactions. This comes to life through comprehensive benefits, workplace flexibility, professional development opportunities, and a host of opportunities provided through our Employee Resource Groups. Each employee plays a role in creating our inclusive culture, which supports every individual to do their best work. Together, we cultivate a community where everyone can make a meaningful impact for our business, our customers, and the communities we serve.
We value your hard work, integrity and commitment to make things better, and we put people first by offering you benefits that support your life and well-being. To learn more about our benefit offerings please visit: https://www.libertymutualgroup.com/about-lm/careers/benefits
Liberty Mutual is an equal opportunity employer. We will not tolerate discrimination on the basis of race, color, national origin, sex, sexual orientation, gender identity, religion, age, disability, veteran's status, pregnancy, genetic information or on any basis prohibited by federal, state or local law.
Fair Chance Notices
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