Portfolio Manager - Fixed Income
Listed on 2026-09-15
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Finance & Banking
Financial Analyst, Risk Manager/Analyst, Portfolio & Asset Management, Financial Reporting
About Us
At Aviva Investors, our expertise is in matching the right investment approach to each client’s unique needs. As the global asset management business of Aviva plc, we bring together our broad investment capabilities to deliver client-focused solutions worldwide. Managing £273 billion in assets, our 1,000‑strong team across nine countries is brilliantly connected, collaborative, and focused on delivering outcomes that truly matter.
Working together and acting responsibly are central to how we operate. We take time to understand what our clients want to achieve and design solutions that last - strengthening every portfolio with diverse perspectives and integrated thinking. Our long track record in sustainable investing reflects our commitment to doing the right thing for clients and communities alike. Everyone at Aviva Investors plays a part in creating an exceptional client experience.
With the scale and influence to make a real difference, we take our responsibility seriously. Join us and you’ll find an inclusive, supportive environment where your contribution is valued, high performance is recognised, and you’re empowered to shape your development.
At Aviva Investors, our expertise is in matching the right investment approach to each client’s unique needs. As the global asset management business of Aviva plc, we bring together our broad investment capabilities to deliver client-focused solutions worldwide. Managing £273 billion in assets, our 1,000‑strong team across nine countries is brilliantly connected, collaborative, and focused on delivering outcomes that truly matter.
Working together and acting responsibly are central to how we operate. We take time to understand what our clients want to achieve and design solutions that last - strengthening every portfolio with diverse perspectives and integrated thinking. Our long track record in sustainable investing reflects our commitment to doing the right thing for clients and communities alike. Everyone at Aviva Investors plays a part in creating an exceptional client experience.
With the scale and influence to make a real difference, we take our responsibility seriously. Join us and you’ll find an inclusive, supportive environment where your contribution is valued, high performance is recognised, and you’re empowered to shape your development.
We are looking for an experienced Fixed Income Portfolio Manager to join our Portfolio Management team in Toronto. This is a high-profile role within our global fixed income platform, offering the opportunity to co-manage Canadian and global fixed income strategies and help deliver strong risk-adjusted outcomes for clients. Working within a collaborative, research-driven investment environment, you will contribute to portfolio construction, investment strategy development and client outcomes across a broad range of mandates, while integrating sustainability and climate considerations into the investment process.
Responsibilities- Co-manage Canadian and global fixed income portfolios, with accountability for investment performance and risk management.
- Contribute to the management and growth of strategies including Canadian Core, Canadian Core Plus and Canadian Core Plus Climate Transition mandates.
- Develop and implement investment strategies across fixed income markets, informed by macroeconomic, credit and market analysis.
- Make active portfolio positioning decisions to generate attractive risk-adjusted returns for clients.
- Integrate ESG and climate-related factors into investment research, portfolio construction and ongoing management.
- Collaborate closely with colleagues across the global fixed income platform to share insights and investment opportunities.
- Partner with…
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