Aviva Investors seeks an experienced Portfolio Manager - Fixed Income to co-manage Canadian and global fixed income strategies, and to deliver superior risk‑adjusted returns from day one. The role combines deep research, active management, and ESG integration within a global, cooperative team in Toronto.
The ideal candidate has a solid track record in fixed income analytics, portfolio construction, and leadership, with advanced degrees or CFA designation preferred.
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📌 Hybrid Global Fixed Income Portfolio Manager Ontario
🏢 Aviva
📍 Ontario