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Director Fixed Income Portfolio Manager Jobs Near Me

Trading Services Associate

Columbus, OH · On-site

$14.75 - $19.50/hr

Fixed Income Middle Office Associate Join a collaborative trading services team where your work directly supports portfolio managers and investment outcomes. As a Fixed Income Middle Office Associate ...

Meeder has been managing short and intermediate-term fixed income public sector portfolios for over 30 years, serving more than 350 public entities across the country. The short term and fixed income ...

This role offers direct exposure to Portfolio Management, Mortgage Servicing Rights (MSR), Repo ... Strong foundation in fixed income concepts, including duration, convexity, yield‑to‑maturity ...

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

As of Aug 29, 2026, the average yearly pay for director fixed income portfolio manager in the United States is $186,382.00, according to ZipRecruiter salary data. Most workers in this role earn between $115,500.00 and $249,500.00 per year, depending on experience, location, and employer.

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A map of the United States highlighting the number of Director Fixed Income Portfolio Manager job openings by state according to ZipRecruiter. The image is accompanied by a detailed chart listing the number of Director Fixed Income Portfolio Manager job openings in each state, with California having the most at 2 and Hawaii the least at 0.

Portfolio Manager - Fixed Income

Meeder Investment Management

Dublin, OH • On-site

Full-time

Posted 3 days ago

New


Job description

This role is responsible for managing fixed income portfolios for a diverse client base. The Portfolio Manager will be accountable for investment decision-making, trade execution, and continuous portfolio oversight, with a strong focus on achieving client objectives and maintaining effective risk management.

Primary Responsibilities

  • Manage and trade short-duration fixed income portfolios composed of U.S. Treasuries, agencies, investment-grade corporates, municipals, securitized products, CDs, and money market instruments.
  • Ensure consistent portfolio management across client accounts while aligning with target allocations and unique client mandates.
  • Cultivate and maintain strong relationships with Broker-Dealers to ensure optimal market coverage and best execution practices.
  • Analyze individual securities and sectors—including money markets, municipals, corporates, securitized assets, and government securities—based on macroeconomic conditions, sector fundamentals, and interest rate outlooks.
  • Provide customized analytical support and investment recommendations for clients and prospects in collaboration with sales team to support business development and client service efforts.
  • Develop fixed income strategies, contributing to portfolio positioning across LGIPs, Money Market Funds, and Separately Managed Accounts.