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Fixed Income Sovereign Analyst Jobs in Cleveland, OH

This role will focus on listed fixed income managers (including core, core plus, high yield, and ... Analyze performance, risk, holdings, and organizational factors using internal and external ...

This role will focus on listed fixed income managers (including core, core plus, high yield, and ... Analyze performance, risk, holdings, and organizational factors using internal and external ...

CFA - Level 1 Tutor

Cleveland, OH · Remote

$18 - $40/hr

Guides students through computing financial ratios, applying quantitative methods, analyzing fixed income and equity valuation, understanding derivative pricing, and applying the Standards of ...

CFA - Level 1 Tutor

Akron, OH · Remote

$18 - $40/hr

Guides students through computing financial ratios, applying quantitative methods, analyzing fixed income and equity valuation, understanding derivative pricing, and applying the Standards of ...

... and analysis on a variety of investments, including individual equities and fixed income instruments, managed accounts, commodities, and alternative investments, among others. You will build and ...

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Fixed Income Sovereign Analyst information

See Cleveland, OH salary details

$42.2K

$105.4K

$189.1K

How much do fixed income sovereign analyst jobs pay per year?

As of Aug 25, 2026, the average yearly pay for fixed income sovereign analyst in Cleveland, OH is $105,416.00, according to ZipRecruiter salary data. Most workers in this role earn between $70,300.00 and $127,000.00 per year, depending on experience, location, and employer.

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 Cleveland, OH?

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

What job categories do people searching Fixed Income Sovereign Analyst jobs in Cleveland, OH look for?

The top searched job categories for Fixed Income Sovereign Analyst jobs in Cleveland, OH are:

What cities near Cleveland, OH are hiring for Fixed Income Sovereign Analyst jobs?

Cities near Cleveland, OH with the most Fixed Income Sovereign Analyst job openings:

KPB Sr. Manager Research Analyst

Brooklyn, OH • Remote


Keybank
Banking and Credit Intermediation • 10K+ employees

8.2

Company rating: 8.2 out of 10

Based on 99 frontline employees who took The Breakroom Quiz

51st of 172 rated banks

People enjoy working here

Good employer

Recommended by students


$71K - $125K/yr

Full-time

Posted 5 days ago


Job description

Location:

4900 Tiedeman Road, Brooklyn Ohio

About the Team & Role
Join a collaborative Manager Research team within Key Wealth's Chief Investment Office. The team is responsible for sourcing, evaluating, and monitoring third-party investment managers across asset classes for high net worth and institutional clients. This role will focus on listed fixed income managers (including core, core plus, high yield, and global strategies), private credit (such as direct lending, opportunistic credit, and specialty finance), and other diversifying assets including infrastructure and
hedge funds.


What You'll Do
Conduct qualitative and quantitative due diligence on fixed income, private credit, and diversifying asset managers.
Source new managers and strategies and prepare written recommendations for internal stakeholders.
Analyze performance, risk, holdings, and organizational factors using internal and external research tools.
Participate in manager meetings, ongoing monitoring, and periodic review processes.
Contribute to asset class reviews, market mapping, and thematic research initiatives.
Support portfolio construction discussions, risk assessments, and internal model oversight.
Communicate investment insights clearly to colleagues across the firm.

What We're Looking For
A minimum of 3 years of relevant experience in investment management, consulting, or investment research.
Experience or strong interest in fixed income, private credit, alternatives, or diversifying asset strategies.
Bachelor's degree in business, economics, finance, mathematics, or a related field (recommended).
Progress toward the CFA charter or a similar professional designation is preferred.
Strong analytical skills and proficiency in Excel, PowerPoint, and investment databases such as Bloomberg or FactSet.
Excellent written and verbal communication skills.
Strong judgment, attention to detail, and the ability to work collaboratively in a team environment.


Why Key Wealth
Key Wealth offers a collegial, intellectually rigorous environment with exposure to a wide range of investment strategies and senior decision-makers. Team members play a meaningful role in shaping investment outcomes and have opportunities for continued professional growth and development.

COMPENSATION AND BENEFITS

This position is eligible to earn a base salary in the range of $71,000.00 - $125,000.00 annually. Placement within the pay range may differ based upon various factors, including but not limited to skills, experience and geographic location. Compensation for this role also includes eligibility for incentive compensation which may include production, commission, and/or discretionary incentives.

Please click here for a list of benefits for which this position is eligible.

Key has implemented an approach to employee workspaces which prioritizes in-office presence, while providing flexible options in circumstances where roles can be performed effectively in a mobile environment.

Job Posting Expiration Date: 09/20/2026 KeyCorp is an Equal Opportunity Employer committed to sustaining an inclusive culture. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age, genetic information, pregnancy, disability, veteran status or any other characteristic protected by law.

Qualified individuals with disabilities or disabled veterans who are unable or limited in their ability to apply on this site may request reasonable accommodations by emailing HR_Compliance@keybank.com.

#LI-Remote

KeyBank logo

About KeyBank

Sourced by ZipRecruiter

Key is one of the nation's largest bank-based financial services companies. Key provides deposit, lending, cash management, insurance, and investment services to individuals and businesses in 15 states under the name KeyBank National Association through a network of more than 1,200 branches and more than 1,500 ATMs. Key also provides a broad range of sophisticated corporate and investment banking products, such as merger and acquisition advice, public and private debt and equity, syndications, and derivatives to middle market companies in selected industries throughout the United States under the KeyBanc Capital Markets trade name.

Industry

Banking and credit intermediation

Company size

10,000+ Employees

Headquarters location

Cleveland, OH, US

Year founded

1849


What KeyBank employees say

Pay

Benefits

Hours and flexibility

Workplace

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