Investment Officer - Fixed Income

State of Washington$132K — $219K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in finance, economics, business, or related field.
  • Four years of fixed income investment experience in corporate credit analysis, portfolio management, or economic analysis.
  • Experience analyzing corporate credit issuers specifically in the finance sector.
  • Strong analytical skills and experience with financial statement analysis and capital structure assessment.
  • Proficiency in Bloomberg, Excel, Word, and AI tools for analysis.

Responsibilities

  • Perform in-depth credit analysis and provide buy, hold, or sell recommendations for finance sector companies.
  • Analyze daily primary issuance and provide timely investment recommendations.
  • Monitor credit quality and communicate assessments of existing holdings.
  • Stay informed on macro and microeconomic factors affecting the finance sector.
  • Prepare and deliver analyses to support investment decisions clearly and concisely.

Benefits

  • Hybrid work environment with 60% in-office time.
  • Opportunities for professional development and continuous learning.
  • Work within a globally recognized investment management organization.
  • Engagement in meaningful work that benefits fund beneficiaries.
Full Job Description
Salary: $132,000.00 - $219,000.00 Annually
Location : Thurston County - Olympia, WA
Job Type: Exempt
Job Number:
Department: State Investment Board
Opening Date: 08/12/2026

Description
This recruitment will remain open until filled, and it is in the candidate's best interest to apply early.

To learn more about our organization and the work we do, please visit our website at and follow us on

The WSIB operates in a hybrid work environment, and this position should anticipate 60% of their time in the Olympia office.

Duties
The WSIB is seeking a qualified candidate to join our Fixed Income team as an Investment Officer (IO) reporting to the Assistant Senior Investment Officer (ASIO). This is an opportunity to join a globally recognized investment management organization. The primary objective of IO - Fixed Income is the prudent and productive management of the entrusted funds allocated to Fixed Income in a manner consistent with statutes, regulations, Board policies, and the highest standard of professional conduct for the exclusive benefit of fund beneficiaries.

The ideal candidate brings strong credit analysis skills, sound judgment, and a disciplined investment mindset. They are intellectually curious, comfortable forming independent views, able to communicate those views clearly, and work well independently. They also are collaborative, team oriented, and demonstrate integrity in all decisions.

IF SELECTED FOR THIS OPPORTUNITY, YOU WILL:

  • Perform in-depth credit analysis and make buy, hold, or sell recommendations on companies in the finance sector (banking, brokerage, finance, and insurance companies) across investment grade, high yield, and emerging markets asset classes.
  • Analyze and evaluate primary issuance daily and make timely recommendations from fundamental and relative value perspectives.
  • Evaluate secondary opportunities to add value to the portfolios.
  • Monitor the credit quality of existing holdings; identify companies that have improving, stable or deteriorating fundamentals, and communicate these views to the Senior Investment Officer (SIO) and ASIO on a timely basis.
  • Monitor, analyze, and evaluate company and industry developments, credit risks, and opportunities affecting the finance sector.
  • Analyze macro and microeconomic factors affecting the finance sector.
  • Utilize resources including Bloomberg, the internet, investment banks, news outlets, independent sources, rating agencies, issuers, and conference calls for research.
  • Prepare and deliver written and verbal analyses to support investment views and communicate complex information clearly to the SIO and ASIO on a timely basis.
  • Collaborate with the SIO and ASIO while also working independently to meet deadlines and manage priorities.
  • Keep abreast of changes in fixed income and overall capital markets, and developments in investment principles and methods.
  • Perform additional duties as required to support the fixed income team and broader WSIB objectives.


Qualifications
COMPETITIVE APPLICANTS WILL HAVE:

  • Bachelor's degree in finance, economics, business, or a related field.
  • Four years of fixed income investment experience in areas such as corporate credit analysis, company analysis, industry analysis, portfolio management, or economic analysis.
    • A relevant Master's degree or Chartered Financial Analyst (CFA) designation may substitute for up to two years of required experience.
    • Experience may not include managing your personal portfolio.
  • Experience analyzing corporate credit issuers in the finance sector. Applicant must be able to:
    • Understand industry drivers and integrate market and regulatory developments into company evaluations.
    • Evaluate corporate fundamentals and relative values across issuers and sectors.
    • Analyze companies in emerging markets.
  • Demonstrated strong analytical and research skills including financial statement analysis, cash flow modeling, covenant review, capital structure assessment, and qualitative analysis to form independent and successful investment recommendations.
  • Demonstrated ability to evaluate complex investment grade, emerging market, and high yield credit instruments.
  • An understanding of fixed income markets and fixed income portfolio management.
  • Ability to communicate verbally and in written form complex information and investment views.
  • Ability to collaborate skillfully, including having the ability to work closely with the SIO and ASIO.
  • Demonstrated proficiency using Bloomberg, Excel, Word, and Artificial Intelligence tools to support analysis and recommendations.
  • A proven track record of managing competing priorities and meeting deadlines in a fast-paced environment.

THE STRONGEST APPLICANT WILL HAVE:

  • Deep expertise in the finance sector, including knowledge of industry drivers, regulatory considerations, and company-specific risk factors.
  • Experience evaluating investment grade, emerging market, and high yield credit instruments across market cycles.
  • Demonstrated ability to independently generate high-quality investment recommendations supported by rigorous analysis.
  • A CFA charter or relevant graduate degree.
  • A proven track record of producing clear and concise reports, and actionable investment recommendations that contribute to the portfolios' total returns.

If your experience or qualifications look different from what we have identified and you think you can be successful in this position, please address this in your cover letter.

Supplemental Information
In addition to a complete profile, please include:

  • A cover letter specifying why this position is of interest to you and how you meet the qualifications listed above. This letter should be no more than two pages.
  • A current chronological resume.

BACKGROUND CHECK:
Prior to a new hire, a background check including reference checks, education verification, credit check, and criminal record history will be conducted. Information from the background check will not necessarily preclude employment but will be considered in determining applicant's suitability and competence to perform in the position.

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