Understanding of fixed income, credit markets, portfolio management concepts and investment risk metrics. * Experience analysing portfolios, credit investments, securitized products, private markets ...
Understanding of fixed income, credit markets, portfolio management concepts and investment risk metrics. * Experience analysing portfolios, credit investments, securitized products, private markets ...
Knowledge of fixed income markets, and familiarity with US short-term rate policy, a plus * Must be articulate, polished, and able to present to senior stakeholders * Willingness to travel to clients ...
Knowledge of fixed income markets, and familiarity with US short-term rate policy, a plus * Must be articulate, polished, and able to present to senior stakeholders * Willingness to travel to clients ...
General Professional Role
Stamford, CT · On-site
Have a basic understanding of fixed income, equity and alternative investments (SMAs, mutual funds etc.
General Professional Role
Stamford, CT · On-site
Have a basic understanding of fixed income, equity and alternative investments (SMAs, mutual funds etc.
Solid understanding of fixed income markets, structured products, commercial real estate, and investment risk drivers. * Demonstrates curiosity, initiative, sound judgment, and ownership. * Ability ...
Solid understanding of fixed income markets, structured products, commercial real estate, and investment risk drivers. * Demonstrates curiosity, initiative, sound judgment, and ownership. * Ability ...
Cigna Investment Management (CIM) manages more than $35 billion in assets across public and private fixed income, commercial mortgages, private equity, private credit, real estate, public equity, and ...
Cigna Investment Management (CIM) manages more than $35 billion in assets across public and private fixed income, commercial mortgages, private equity, private credit, real estate, public equity, and ...
This is a senior leadership role in a $50 billion fixed income platform with a longstanding commitment to rigorous, bottom-up fundamental credit analysis. The Managing Director of Investment Grade ...
This is a senior leadership role in a $50 billion fixed income platform with a longstanding commitment to rigorous, bottom-up fundamental credit analysis. The Managing Director of Investment Grade ...
Junior Relationship Manager
Newtown, CT · On-site
$60K - $85K/yr
Knowledge of fixed income markets, and familiarity with US short-term rate policy, a plus * Must be articulate, polished, and able to present to senior stakeholders * Willingness to travel to clients ...
Quick apply
Junior Relationship Manager
Newtown, CT · On-site
$60K - $85K/yr
Knowledge of fixed income markets, and familiarity with US short-term rate policy, a plus * Must be articulate, polished, and able to present to senior stakeholders * Willingness to travel to clients ...
General Professional Role
Stamford, CT · On-site
Have a basic understanding of fixed income, equity and alternative investments (SMAs, mutual funds etc.
General Professional Role
Stamford, CT · On-site
Have a basic understanding of fixed income, equity and alternative investments (SMAs, mutual funds etc.
Junior Relationship Manager
Newtown, CT · On-site
$60K - $85K/yr
Knowledge of fixed income markets, and familiarity with US short-term rate policy, a plus * Must be articulate, polished, and able to present to senior stakeholders * Willingness to travel to clients ...
Junior Relationship Manager
Newtown, CT · On-site
$60K - $85K/yr
Knowledge of fixed income markets, and familiarity with US short-term rate policy, a plus * Must be articulate, polished, and able to present to senior stakeholders * Willingness to travel to clients ...
This is a senior leadership role in a $50 billion fixed income platform with a longstanding commitment to rigorous, bottom-up fundamental credit analysis. The Managing Director of Investment Grade ...
This is a senior leadership role in a $50 billion fixed income platform with a longstanding commitment to rigorous, bottom-up fundamental credit analysis. The Managing Director of Investment Grade ...
Risk Manager, Investment Risk
Hartford, CT · On-site +1
Solid understanding of fixed income markets, structured products, commercial real estate, and investment risk drivers. * Demonstrates curiosity, initiative, sound judgment, and ownership. * Ability ...
Risk Manager, Investment Risk
Hartford, CT · On-site +1
Solid understanding of fixed income markets, structured products, commercial real estate, and investment risk drivers. * Demonstrates curiosity, initiative, sound judgment, and ownership. * Ability ...
Run daily equity and/or fixed income lending activity, including pricing, allocations and inventory deployment. * Own and grow key streetside relationships (broker-dealers, primes, hedge funds ...
Run daily equity and/or fixed income lending activity, including pricing, allocations and inventory deployment. * Own and grow key streetside relationships (broker-dealers, primes, hedge funds ...
Cigna Investment Management (CIM) manages more than $35 billion in assets across public and private fixed income, commercial mortgages, private equity, private credit, real estate, public equity, and ...
Cigna Investment Management (CIM) manages more than $35 billion in assets across public and private fixed income, commercial mortgages, private equity, private credit, real estate, public equity, and ...
GAAP and Statutory accounting rules related to Fixed Income, Equity and Partnership investments Strong Excel skills working with data (Pivot Tables, Power Query, filters, sorts, lookups, modeling ...
GAAP and Statutory accounting rules related to Fixed Income, Equity and Partnership investments Strong Excel skills working with data (Pivot Tables, Power Query, filters, sorts, lookups, modeling ...
CMO Structurer - Trader I
Stamford, CT · On-site
$80K - $100K/yr
This individual contributor role does not manage other employees and reports to the Head of Taxable Fixed Income Trading. Team Culture The trading team works together by discussing market conditions ...
CMO Structurer - Trader I
Stamford, CT · On-site
$80K - $100K/yr
This individual contributor role does not manage other employees and reports to the Head of Taxable Fixed Income Trading. Team Culture The trading team works together by discussing market conditions ...
Director, Associate Credit Research Analyst-ABS
Hartford, CT · On-site
$121K - $182K/yr
Solid understanding of fixed income markets, structured products, and credit analysis * Demonstrates curiosity, initiative, creativity, and a strong work ethic * Ability to work independently while ...
Director, Associate Credit Research Analyst-ABS
Hartford, CT · On-site
$121K - $182K/yr
Solid understanding of fixed income markets, structured products, and credit analysis * Demonstrates curiosity, initiative, creativity, and a strong work ethic * Ability to work independently while ...
CMO Structurer - Trader I
Stamford, CT · On-site
$80K - $100K/yr
This individual contributor role does not manage other employees and reports to the Head of Taxable Fixed Income Trading. Team Culture The trading team works together by discussing market conditions ...
CMO Structurer - Trader I
Stamford, CT · On-site
$80K - $100K/yr
This individual contributor role does not manage other employees and reports to the Head of Taxable Fixed Income Trading. Team Culture The trading team works together by discussing market conditions ...
Quantitative Developer - 2452889
Stamford, CT · Hybrid
$200K - $250K/yr
... Fixed Income, Corporate Bonds, non-vanilla swaps, and other OTC Derivatives. * 5 years experience in Java or C#, .Net, Bonus points for expertise in Python. * Extensive experience with Analytics ...
Quick apply
Quantitative Developer - 2452889
Stamford, CT · Hybrid
$200K - $250K/yr
... Fixed Income, Corporate Bonds, non-vanilla swaps, and other OTC Derivatives. * 5 years experience in Java or C#, .Net, Bonus points for expertise in Python. * Extensive experience with Analytics ...
CMO Structurer - Trader I
$80K - $100K/yr
This individual contributor role does not manage other employees and reports to the Head of Taxable Fixed Income Trading. Team Culture The trading team works together by discussing market conditions ...
CMO Structurer - Trader I
$80K - $100K/yr
This individual contributor role does not manage other employees and reports to the Head of Taxable Fixed Income Trading. Team Culture The trading team works together by discussing market conditions ...
S. GAAP and Statutory accounting rules related to Fixed Income, Equity and Partnership investments • Strong Excel skills working with data (Pivot Tables, Power Query, filters, sorts, lookups ...
S. GAAP and Statutory accounting rules related to Fixed Income, Equity and Partnership investments • Strong Excel skills working with data (Pivot Tables, Power Query, filters, sorts, lookups ...
Fixed Income information
See Connecticut salary details
$41.4K - $54.5K
8% of jobs
$54.5K - $67.6K
14% of jobs
$70.1K is the 25th percentile. Wages below this are outliers.
$67.6K - $80.7K
18% of jobs
$80.7K - $93.8K
10% of jobs
The median wage is $94.2K / yr.
$93.8K - $106.9K
17% of jobs
$115.4K is the 75th percentile. Wages above this are outliers.
$106.9K - $120K
13% of jobs
$120K - $133.1K
6% of jobs
$133.1K - $146.2K
9% of jobs
$146.2K - $159.3K
1% of jobs
$159.3K - $172.4K
2% of jobs
$172.4K - $185.5K
2% of jobs
$41.4K
$103.4K
$185.5K
How much do fixed income jobs pay per year?
What is a fixed income?
What are some common challenges faced by professionals working in fixed income roles?
What are the key skills and qualifications needed to thrive in a fixed income role?
What is the difference between Fixed Income vs Bond Analyst?
| Aspect | Fixed Income | Bond Analyst |
|---|---|---|
| Primary Focus | Investing in a variety of debt securities, including bonds, loans, and other fixed income instruments | Analyzing specific bonds to assess their risk, yield, and market value |
| Required Credentials | Finance or related degree, certifications like CFA often preferred | Finance degree, CFA or similar certifications common |
| Work Environment | Asset management firms, banks, or investment funds | Investment banks, asset management firms, or research institutions |
| Employer & Industry Usage | Used broadly in fixed income investing and portfolio management | Specialized role within fixed income teams focusing on bond analysis |
Fixed Income professionals oversee a broad range of debt securities, while Bond Analysts focus specifically on evaluating individual bonds. Both roles require similar credentials and often work within the same industry environments, but their scope differs from portfolio management to detailed security analysis.

Full-time
Medical, Dental, Vision, Life, Retirement, PTO
Posted 10 days ago
Job description
Legal & General is a leader in Pension Risk Transfer with 35 years of experience globally, servicing over a million annuitants. Building on our global success, we established our Pension Risk Transfer platform in the US in 2015. The business has grown steadily and has written over $6 billion in premium since inception.
Job Description
Reporting to the Portfolio Manager, this position will support portfolio construction, new business pricing analysis, portfolio monitoring and investment governance across portfolios managed by LGA.
The Investment Analyst will work across front-book PRT activity, back-book portfolio oversight, securitized credit, private markets and infrastructure, helping turn data and market information into clear investment recommendations.
Role and Responsibilities
New Business Strategy / PRT Portfolio Construction
- Build and analyse model portfolios for new PRT transactions, including scenarios across asset allocation, ratings, sourcing capacity and risk limits. Consider compliance limits.
- Assess proposed portfolios for diversification, concentration, credit quality, liquidity profile, duration / cashflow characteristics, capital usage and guideline compliance.
- Monitor and create monthly summaries of asset sourcing targets vs actual sourced DI and amount remaining for investment committees.
New Asset Origination / Initiatives for Asset Backed Liability Portfolio
- Support research into new asset classes, securitized products, infrastructure, renewables and other opportunities relevant to Institutional Retirement portfolios suitable for backing liabilities.
- Build and maintain portfolio models, dashboards and trackers that improve decision-making, governance, reporting and process efficiency for the new asset strategies and managers.
Portfolio Management & Investment Oversight
- Monitor portfolio exposures, ALM, asset allocation, compliance limits, risk appetite and investment guidelines, with timely escalation of emerging issues.
- Produce portfolio analytics, reporting and management information for senior stakeholders, including key drivers, risks and recommended actions.
- Support watchlist, ratings, downside and scenario analysis across public and private asset classes.
- Analyse market developments and portfolio actions that may improve risk-adjusted return.
- Maintain the investment deal pipeline, tracking opportunities, ownership, status, timelines, approvals and next steps.
- Support initial screening of investment opportunities and prepare concise summaries covering thesis, portfolio fit, key risks, relative value and recommendation.
- Support coordination of inputs from Asset Management, Risk, Finance, Operations, Legal and other stakeholders to support efficient deal review and governance.
- Support investment memos, credit notes and committee materials for internal review and approval.
Qualifications
Education
- BA / BS in finance, economics, mathematics, engineering, physics, statistics, actuarial science or a related quantitative discipline.
- Progress towards CFA, FRM, CAIA or similar qualification preferred.
Experience / Knowledge
- 2-5 years of relevant experience in investment management, fixed income, insurance, pensions, consulting, banking, asset management or a related analytical role.
- Understanding of fixed income, credit markets, portfolio management concepts and investment risk metrics.
- Experience analysing portfolios, credit investments, securitized products, private markets or insurance-related assets preferred.
- Familiarity with PRT, insurance balance sheets, liability-aware investment strategy, capital frameworks or US Risk Based Capital beneficial but not required.
Additional Information
The starting salary offer will vary based on multiple factors, including but not limited to the applicant's education, job-related experience, skills, and abilities, geographic location, and market factors. This position is also eligible to participate in the company's annual discretionary bonus plan. Full time employees may be eligible for health insurance with an optional HSA, short term disability, long term disability, dental insurance, vision care, life insurance, Healthcare, Dependent and Limited Care Flexible Spending Accounts, 401K, vacation, sick time, an employee assistance program, and commuter and transit programs. Additional voluntary programs include: supplemental health benefits including accidental injury, critical illness and hospital indemnity insurance and pet insurance.
EOE Statement
As an EOE employer, L&G Asset Management, America will extend equal opportunity to all employees and applicants for employment without regard to race, color, religion, gender, sexual orientation, gender identity, ancestry, national origin, age, disability, medical condition, genetic information, marital status, pregnancy, military status, and/or any other characteristic protected under applicable federal, state or local laws governing non-discrimination in employment. (2025)