Senior Portfolio Manager - Fixed Income

WhatJobs Direct
US
Hybrid

Job Description

Our client, a highly respected asset management firm with a strong track record, is seeking an experienced Senior Portfolio Manager specializing in Fixed Income to join their esteemed investment team in Portland, Oregon, US . This key role involves managing a diverse portfolio of fixed income securities, making strategic investment decisions, and driving performance in line with client objectives and risk parameters. You will be responsible for conducting in-depth market research, analyzing macroeconomic trends, evaluating credit risk, and constructing well-diversified portfolios across various fixed income asset classes. The ideal candidate will possess a deep understanding of global fixed income markets, exceptional analytical and quantitative skills, and a proven history of successful portfolio management.

Key Responsibilities:

Manage and oversee one or more fixed income portfolios, ensuring alignment with investment objectives, risk tolerance, and regulatory requirements. Develop and implement comprehensive fixed income investment strategies based on macroeconomic analysis, interest rate outlook, and credit research. Conduct rigorous credit analysis of corporate bonds, government securities, and other fixed income instruments. Monitor portfolio performance, risk exposures, and market conditions, making necessary adjustments to optimize returns and manage risk. Generate investment ideas and build well-diversified portfolios across various sectors and maturities. Engage in active trading and rebalancing of portfolios to capitalize on market opportunities. Collaborate with research analysts, traders, and other investment professionals to inform investment decisions. Prepare detailed portfolio reports, performance reviews, and presentations for clients and internal stakeholders. Stay current with global economic developments, central bank policies, and fixed income market trends. Ensure compliance with all internal policies, regulatory guidelines, and client mandates. Communicate effectively with clients, consultants, and internal teams regarding portfolio strategy and performance. Qualifications:

Master's degree in Finance, Economics, Mathematics, or a related quantitative field. CFA designation is highly preferred. Minimum of 7 years of progressive experience in portfolio management, investment research, or fixed income analysis. Demonstrated expertise in managing fixed income portfolios and developing successful investment strategies. Deep understanding of macroeconomic principles, interest rate dynamics, credit markets, and various fixed income instruments (e.g., government bonds, corporate bonds, MBS, ABS). Proficiency in portfolio management software, financial databases (e.g., Bloomberg, Refinitiv), and quantitative analysis tools. Exceptional analytical, quantitative, and problem-solving skills. Strong communication, presentation, and interpersonal skills. Ability to work independently and collaboratively in a team-oriented environment. Proven track record of generating competitive risk-adjusted returns. This hybrid role offers a competitive compensation package and the opportunity to make a significant impact within a leading investment firm in Portland, Oregon, US .

Skills & Requirements

Technical Skills

Cfa

Employment Type

FULL TIME

Level

mid

Posted

4/13/2026

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