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Fixed Income Portfolio Manager Jobs in Washington, DC

... fixed income, equities, repo, and global markets-rather than specializing in a single product area. * Exposure to the full investment lifecycle, working alongside Portfolio Managers, Traders, Capital ...

... fixed-income orders. * Own rebalancing workflows at scale, including tax-aware trading, tax-loss ... management, and other restrictions). * Uphold best-execution practices and support the investment ...

... fixed income, equities, repo, and global markets-rather than specializing in a single product area. * Exposure to the full investment lifecycle, working alongside Portfolio Managers, Traders, Capital ...

Showing results 21-40

Fixed Income Portfolio Manager information

See Washington, DC salary details

$41.9K

$113.8K

$212.4K

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

As of Aug 23, 2026, the average yearly pay for fixed income portfolio manager in Washington, DC is $113,779.00, according to ZipRecruiter salary data. Most workers in this role earn between $74,200.00 and $147,200.00 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 Washington, DC?

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

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

The top searched job categories for Fixed Income Portfolio Manager jobs in Washington, DC are:

Infographic showing various Fixed Income Portfolio Manager job openings in Washington, DC 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 $113,779 per year, or $54.7 per hour.

Market Risk Management Consultant - Fixed Income

Agile Partners

Washington, DC

Full-time

Re-posted 21 days ago


Job description

Job Description

In this role, you will be responsible for portfolio analytics for large mortgage securities and whole loan portfolios. You will be assisting Capital Markets Risk Management organizations to analyze the performance of their portfolio risk analytic systems, and you will be assisting in identifying and evaluating improvements and enhancements to risk management systems.

You will bring your experience in risk management of mortgage portfolios to ensure that mortgage assets are appropriately modeled, and that risk metrics are accurate and well understood by Risk Management, Capital Markets, Finance, and Technology organizations.

You will be working on some of the country's largest mortgage portfolios.

Qualifications

Required:

  • Lead analysis of market risk for a large MBS portfolio
  • Understand models that drive market risk (primarily, prepayment and interest rate)
  • Execute market risk models, perform exhaustive, detailed analysis of input data and outputs
  • Expert knowledge of the primary input variables for mortgage loans
  • Expert knowledge of how those input variables drive changes in duration and convexity
  • Strong written and verbal communication skills to be able to communicate results of analysis

Nice to have:

  • Exposure to agency RMBS trading, RMBS valuation
  • Previous support of a mortgage desk
  • Knowledge of the whole loan conduit business - how mortgage loans are originated by the large banks and sold to the GSEs - how market risk analytics are performed and managed during the conduit process.