Senior Fixed Income Portfolio Manager Global & Climate

Aviva Investors

Toronto

Hybrid

CAD 120,000 - 240,000

Full time

2 days ago
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Benefits offered by this job

Discretionary bonus
Retirement savings
Share plan
Health benefits
Personal wellness
Volunteer opportunities
Hybrid flexible work model

Job summary

Aviva Investors in Toronto is seeking an experienced Fixed Income Portfolio Manager to join our Portfolio Management team. You will co-manage Canadian and global fixed income strategies and help deliver strong risk-adjusted outcomes for clients, while integrating sustainability and climate considerations into the investment process.

The role offers a high-profile remit within a global platform, with opportunities to mentor junior professionals and contribute to research-driven decision making in

Qualifications

  • Deep expertise in portfolio construction, risk management and fixed income analytics.
  • Experience across global rates, IG, HY, EM debt, and structured fixed income.
  • Advanced degrees; CFA or Masters preferred; Bachelor's required.
  • Strong quantitative skills applied to investment decisions.
  • Proven leadership and mentoring within teams.

Responsibilities

  • Co-manage Canadian and global fixed income portfolios with performance accountability.
  • Develop and implement strategies across fixed income markets.
  • Integrate ESG and climate factors into research and portfolio construction.
  • Collaborate with global fixed income colleagues to share insights.
  • Engage with clients, consultants and prospects to provide investment insights.
  • Mentor junior investment professionals on the team.

Skills

Portfolio construction
Risk management
Fixed income analytics
Global rates
Global investment grade
Global high yield
Emerging markets debt
Structured fixed income
Quantitative skills
Leadership

Education

Bachelor’s degree
Master’s degree
CFA designation

Job description

Aviva Investors in Toronto is seeking an experienced Fixed Income Portfolio Manager to join our Portfolio Management team. You will co-manage Canadian and global fixed income strategies and help deliver strong risk-adjusted outcomes for clients, while integrating sustainability and climate considerations into the investment process.

The role offers a high-profile remit within a global platform, with opportunities to mentor junior professionals and contribute to research-driven decision making in

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