Analyst, Fixed Income
Confidential
Posted: January 30, 2026
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Quick Summary
Join a team of experienced professionals in a dynamic and fast-paced environment, where you will be responsible for analyzing and managing fixed income portfolios.
Required Skills
Job Description
This posting is for a new Fixed Income position.
Job Description
About Cidel
Cidel is a Canadian-based global private bank and asset manager. We help high net worth individuals, families and institutions protect and grow their wealth. Our expertise spans three well-integrated service areas:
Asset Management,
Planning, Structuring & Trust, and
Specialized banking.
We are a unique firm in the way we combine the scale and capability of a large global bank, with the continuity and genuine commitment to service of a boutique firm.
Job Purpose
To join a team of experienced and energetic fixed income professionals.
To participate in the management of Cidel’s fixed income assets, including private client and institutional portfolios, models and funds.
To contribute to the development of proprietary fixed income portfolio management tools.
Areas of Focus will Include:
Assist with portfolio management, including optimization, modeling, analysis, pricing, and trading of securities
Conduct fundamental credit analysis to identify opportunities across fixed income markets, utilizing both directional relative value strategies
Maintain regular communication with internal teams and external market participants (broker-dealers, analysts) to stay informed about market developments and share relevant insights
Monitor portfolio performance, risk exposures, and market sensitivities to ensure alignment with investment strategies and client guidelines
Support the maintenance and enhancement of proprietary portfolio management tools
Develop a deep understanding of investment strategies over time and contribute to the creation of new fixed income products and investments solutions
Requirements
holding or working towards a Chartered Financial Analyst (CFA) designation
Minimum of 2 years’ experience in investment or capital markets
Experience in credit analysis, including business and financial analysis, ESG evaluation, and financial modeling
Bachelor’s degree or MBA in Finance, Economics, Mathematics, Engineering, or a related quantitative discipline is considered an asset
Proficiency in Microsoft Excel and Bloomberg; strong programming skills in Python, SQL, and AI tools are preferred
Excellent organizational and communication skills, with the ability to work effectively in a team environment and manage multiple tasks simultaneously
Please apply via Bamboo by December 7th, 2025.
Please note that artificial intelligence (AI) tools may be used during the recruitment process to assist in screening, assessing, or selecting applicants. All AI assisted evaluations are conducted in accordance with applicable privacy and employment standards.
We welcome applications from individuals of all abilities, backgrounds, and experiences. Reasonable accommodations are available on request for candidates taking part throughout the hiring process to support equitable access and participation. Only successful candidates will be contacted.