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Fixed Income Sovereign Analyst Jobs in Texas (NOW HIRING)

Senior Settlements Analyst

Dallas, TX · On-site

$79K - $107K/yr

  • Medical

  • Dental

  • Vision

  • Retirement

You will also perform comparison of fixed income trades in FICC CMU and the reporting of fixed ... Strong communication and analytical skills * Ability to effectively prioritize and adapt to ...

Account Associate

Austin, TX · On-site

$47K - $63K/yr

This includes gathering, analyzing, and discussing economic and fixed income trends, evaluating portfolio structures and strategies, and delivering performance attribution and portfolio insights to ...

Trust Reporting Analyst

Houston, TX · On-site

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

  • PTO

Essential functions of the CLO Trust Reporting Analyst 2 include: Read and interpret trust ... Basic understanding of syndicated bank loans, fixed income securities, securitization, trading or ...

Allocate fixed income trades, ensuring accurate booking of bond trades into accounts as received ... Possesses critical thinking, analytical and problem-solving skills * Has strong time-management ...

Showing results 41-60

Fixed Income Sovereign Analyst information

What is a fixed income sovereign analyst?

A Fixed Income Sovereign Analyst is a financial professional who specializes in analyzing government-issued bonds and debts (sovereign debt) of different countries. They assess the creditworthiness of nations, monitor macroeconomic trends, and evaluate political and fiscal risks that could impact the value of sovereign bonds. Their insights help investment managers and other stakeholders make informed decisions about buying, holding, or selling government securities. The role requires strong analytical skills, knowledge of global economics, and the ability to interpret complex financial data.

What are the main challenges fixed income sovereign analysts face when evaluating emerging market government bonds?

Fixed Income Sovereign Analysts often encounter challenges such as limited data transparency, rapidly changing political environments, and volatile macroeconomic conditions when evaluating emerging market government bonds. Assessing creditworthiness requires careful analysis of fiscal policy, debt sustainability, and external vulnerabilities, which may not always be straightforward due to inconsistent reporting standards. Additionally, analysts must stay updated on geopolitical developments and policy changes that can impact sovereign credit risk, requiring a proactive and adaptable research approach.

What are the key skills and qualifications needed to thrive as a fixed income sovereign analyst, and why are they important?

To thrive as a Fixed Income Sovereign Analyst, you need strong analytical skills, deep understanding of macroeconomics, financial modeling, and a relevant degree such as finance, economics, or related fields. Proficiency in financial databases (like Bloomberg or Reuters), spreadsheet modeling, and often CFA certification are highly valued. Excellent communication, critical thinking, and the ability to synthesize complex data into actionable insights are standout soft skills in this role. These capabilities are crucial for making informed investment recommendations and managing risk in global sovereign debt markets.

What is the difference between Fixed Income Sovereign Analyst vs Fixed Income Corporate Analyst?

AspectFixed Income Sovereign AnalystFixed Income Corporate Analyst
Primary FocusGovernment debt and sovereign issuersCorporate debt and private sector companies
Required CredentialsFinance, Economics degrees; CFA often preferredFinance, Economics degrees; CFA often preferred
Work EnvironmentInvestment banks, asset managers, government agenciesAsset managers, investment banks, credit rating agencies
Industry UsagePublic sector, government bond marketsPrivate sector, corporate bond markets

Fixed Income Sovereign Analysts focus on government-issued bonds, analyzing macroeconomic factors and sovereign creditworthiness. In contrast, Fixed Income Corporate Analysts evaluate corporate bonds, assessing company financials and industry risks. Both roles require similar credentials and often work in related environments, but their primary focus and market segments differ significantly.

What are popular job titles related to Fixed Income Sovereign Analyst jobs in Texas?

For Fixed Income Sovereign Analyst jobs in Texas, the most frequently searched job titles are:

What job categories do people searching Fixed Income Sovereign Analyst jobs in Texas look for?

The top searched job categories for Fixed Income Sovereign Analyst jobs in Texas are:

What cities in Texas are hiring for Fixed Income Sovereign Analyst jobs?

Cities in Texas with the most Fixed Income Sovereign Analyst job openings:

DIrector - Funding (PL)

Charles Schwab Corporation

Westlake, TX • On-site

$180 - $280/hr

Other

Posted yesterday

New


Job description

Your Opportunity

At Schwab, you’re empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us “challenge the status quo” and transform the finance industry together.


We believe in the importance of in-office collaboration and fully intend for the selected candidate for this role to work on site in the specified location(s).


The Treasury Corporate Finance team is responsible for supporting Schwab’s overall balance sheet strategy with an emphasis on capital management and funding. As the Director of Funding, you will play a pivotal role in shaping and sustaining the firm’s funding strategy across the corporation and its subsidiaries. This role sits at the intersection of financial analysis, capital markets, and strategic decision-making—where your work directly supports our ability to effectively and efficiently fund and manage our balance sheet from a position of safety and soundness.


Reporting to the Managing Director, Head of Treasury Corporate Finance, this role serves as a senior position within the Treasury Corporate Finance team.


You will play a key role in establishment and maintenance of funding programs across legal entities, developing and executing a holistic funding and liability management plan, including the planning and execution of debt and capital issuances, and maintaining a forward-thinking perspective on ways to expand and optimize our funding and capital markets capabilities. From analyzing current and prospective funding needs, performing comprehensive financial analysis to assess the implications of different alternatives, to leading the execution of funding capital markets transactions, this role has a high level of visibility and autonomy to drive favorable outcomes for Schwab.


In this role you will also be responsible for maintaining strong relationships with key outside stakeholders, including:



  • Investment Banking Partners – Active engagement with investment banking partners, particularly with regard to dealer selection and issuance planning and execution.

  • Fixed Income Investors - Serve as the primary liaison with Schwab’s current and prospective fixed income investor base. This includes leading Schwab’s fixed income marking program, which will include periodic engagement with fixed income investors both virtually as well as in-person through conferences and “road show” interactions.

  • Rating Agencies – Serve as the primary point of contact with rating agencies, including maintaining a robust understanding of rating agency methodologies and the impacts that planned and potential funding actions and other balance sheet / performance optimization initiatives may have on Schwab’s ratings.


Success in this role requires proven success in the funding and capital markets space, including demonstrated experience with developing a funding plan, leading key funding- and capital-related transactions, along with strong critical thinking and communication skills. This role requires flexibility, adaptability, and a willingness to take on new challenges as the organization continues to transform and as responsibilities evolve over time to meet changing business needs.


Scope & Ways of Working



  • Operate as a hands-on analytical leader, owning complex deliverables end-to-end

  • Collaborate cross-functionally to influence outcomes without direct authority

  • Continuously improve processes, methodologies / analytical approaches, and controls

  • Demonstrate flexibility and adaptability as priorities, market conditions, business needs, and regulatory expectations evolve

  • Approach problem-solving with strong attention to detail, structured thinking, and resilience


What you have

Required:



  • 8+ years relevant experience with an emphasis on a mix of the following:

    • leading key funding desk activities (e.g., issuance / redemption, share repurchase, other capital markets transactions)

    • corporate finance / analytical assessments

    • assessing potential new funding channels


  • 2+ years of direct people management experience, including proven ability to coach, develop and build a high-performing team

  • Bachelor’s degree

  • Strong knowledge of debt capital markets and related financial and accounting topics

  • Strong experience developing and delivering presentations on complex topics to senior/executive leaders

  • Multiple experiences successfully engaging with key external stakeholders

  • Proven ability to operate effectively in ambiguity and drive results with persistence and ownership

  • Ability to manage multiple priorities in a fast-paced environment

  • Strong attention to detail, analytical and problem-solving abilities

  • Excellent written and verbal communication skills, with the ability to translate technical concepts into clear insights

  • Proficiency in AI, data analytics, and large enterprise databases


Preferred:



  • Master’s degree or CFA

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