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Senior Fixed Income Portfolio Manager Jobs (NOW HIRING)

... more senior investment role. The Talent You Bring The Essential Requirements: * Bachelor's degree * Minimum of 3 years of experience in fixed income securities trading and/or portfolio management

As a Senior Portfolio Engineer covering Fixed Income at Fisher Investments you will collaborate ... ongoing management of all fixed income strategies * Review portfolios to ensure alignment with ...

As a Senior Portfolio Engineer covering Fixed Income at Fisher Investments you will collaborate ... ongoing management of all fixed income strategies * Review portfolios to ensure alignment with ...

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Senior Fixed Income Portfolio Manager information

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$49.5K

$127.1K

$209.5K

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

As of Jun 8, 2026, the average yearly pay for senior fixed income portfolio manager in the United States is $127,122.00, according to ZipRecruiter salary data. Most workers in this role earn between $101,500.00 and $149,000.00 per year, depending on experience, location, and employer.

What are the key skills and qualifications needed to thrive as a Senior Fixed Income Portfolio Manager, and why are they important?

To thrive as a Senior Fixed Income Portfolio Manager, you need deep expertise in fixed income securities, portfolio construction, risk management, and typically an advanced degree such as an MBA or CFA certification. Familiarity with portfolio management software, Bloomberg Terminal, and advanced analytics tools is crucial for effective investment analysis and execution. Exceptional analytical thinking, decision-making under pressure, and strong communication skills distinguish top professionals in this role. These skills ensure informed investment decisions, optimal risk-adjusted returns, and effective client and stakeholder engagement in a dynamic market environment.

How does a Senior Fixed Income Portfolio Manager typically collaborate with research analysts and traders to optimize portfolio performance?

A Senior Fixed Income Portfolio Manager works closely with research analysts to gather in-depth insights on economic trends, credit quality, and sector developments, which inform investment decisions. They also coordinate with traders to ensure efficient execution of trades, manage liquidity, and adjust portfolio positions in response to market conditions. Regular strategy meetings and ongoing communication with these teams are essential for staying aligned with investment objectives and risk parameters, ultimately enhancing portfolio performance.

What does a Senior Fixed Income Portfolio Manager do?

A Senior Fixed Income Portfolio Manager is responsible for managing investment portfolios that focus on fixed income securities, such as bonds and other debt instruments. They analyze market trends, assess credit risk, and make decisions on buying or selling assets to achieve investment objectives. Their role often includes developing strategies to maximize returns while minimizing risk, and regularly communicating performance and strategy to clients or internal stakeholders. They may also oversee junior analysts and portfolio managers, ensuring adherence to investment guidelines and regulatory requirements.

What is the difference between Senior Fixed Income Portfolio Manager vs Fixed Income Analyst?

AspectSenior Fixed Income Portfolio ManagerFixed Income Analyst
ResponsibilitiesOversees entire fixed income portfolios, makes investment decisions, manages riskResearches and analyzes fixed income securities, provides recommendations
CredentialsTypically requires CFA, advanced degrees, extensive experienceOften holds CFA, finance or economics degrees, entry to mid-level experience
Work EnvironmentLeads teams, interacts with clients, strategic decision-makingFocuses on data analysis, financial modeling, market research
Industry UsageCommonly employed in asset management firms, banks, hedge fundsFound in research firms, investment banks, asset managers

The main difference is that a Senior Fixed Income Portfolio Manager manages entire portfolios and makes strategic investment decisions, while a Fixed Income Analyst conducts research and provides recommendations to support those decisions.

More about Senior Fixed Income Portfolio Manager jobs
What cities are hiring for Senior Fixed Income Portfolio Manager jobs? Cities with the most Senior Fixed Income Portfolio Manager job openings:
What states have the most Senior Fixed Income Portfolio Manager jobs? States with the most job openings for Senior Fixed Income Portfolio Manager jobs include:
Infographic showing various Senior Fixed Income Portfolio Manager job openings in the United States as of May 2026, with employment types broken down into 67% Full Time, and 33% Part Time. Highlights an 67% In-person, and 33% Remote job distribution, with an average salary of $127,122 per year, or $61.1 per hour.
Systematic Fixed Income Portfolio Analyst - Client Role

Systematic Fixed Income Portfolio Analyst - Client Role

Arootah

Boston, MA

Full-time

Posted 17 hours ago


Job description

About the Role
 
Our client, a leading quantitative investment firm, is seeking a Systematic Fixed Income Portfolio Analyst to support its fixed income and macro investment initiatives. This role offers the opportunity to work alongside experienced portfolio managers, quantitative researchers, and technology professionals in a highly analytical, fast-paced environment.
The ideal candidate is intellectually curious, technically skilled, and passionate about applying data-driven analysis to financial markets. This individual will contribute to portfolio analytics, investment research, risk evaluation, and the ongoing enhancement of systematic investment processes.

Key Responsibilities
  • Support portfolio managers and investment teams through quantitative analysis, portfolio monitoring, and market research. 
  • Develop and maintain analytical tools used for portfolio evaluation and risk assessment. 
  • Analyze large datasets to identify trends, anomalies, and actionable investment insights. 
  • Assist in the implementation and refinement of systematic investment approaches across fixed income markets. 
  • Collaborate with technology and research teams to improve workflow automation and reporting capabilities. 
  • Evaluate portfolio exposures and assist with performance attribution and risk analysis. 
  • Produce reporting materials and investment analytics for internal stakeholders. 
  • Contribute to ongoing research projects related to financial markets, portfolio construction, and investment strategy development.
Qualifications
  • Bachelor’s or Master’s degree in Mathematics, Statistics, Computer Science, Engineering, Economics, Finance, Physics, or another quantitative discipline. 
  • 1–4 years of experience in portfolio analytics, quantitative research, investment management, risk analysis, or financial technology. 
  • Familiarity with fixed income products, macroeconomic analysis, or systematic investment strategies is a plus. 
  • Exposure to machine learning, cloud technologies, or data engineering tools is beneficial.
Compensation will be competitive and commensurate with experience. Bonus eligibility included.
Benefits may include:
  • Medical, Dental, and Vision Insurance 
  • 401(k) Retirement Plan 
  • Paid Time Off and Holidays 
  • Professional Development Opportunities 
  • Performance-Based Incentive Compensation 
We may use artificial intelligence (AI) tools to support portions of the hiring process, including resume review and candidate evaluation. These tools assist our recruiting team but do not replace human decision-making. Final hiring decisions are made by human reviewers.

We may use artificial intelligence (AI) tools to support parts of the hiring process, such as reviewing applications, analyzing resumes, or assessing responses. These tools assist our recruitment team but do not replace human judgment. Final hiring decisions are ultimately made by humans. If you would like more information about how your data is processed, please contact us.