Summary:
A long-standing investor within the infrastructure sector with c. ยฃ3.5 billion AUM. They have a focus towards social infrastructure and renewables since the early 2000's and have a truly global outlook targeting strong economies with strong rooted legal frameworks. Candidates will be provided with autonomy to work across various areas such as asset management through to capital raising.
Key Responsibilities:
- Portfolio valuations semi-annually, with financial model updates from prospective companies
- Revise fund forecast models to consider future projections in business planning, equity returns and commercial and financial inputs
- Bolster the origination, analysis, structuring, documentation and execution of potential investment opportunities within the infrastructure sector with a prime focus on Europe, and the flexibility to target other regions.
- Support for the team across analytical, research and modelling. Involving competitor analysis.
- Thorough examination of current investment portfolios to identify potential enhancements.
Key Requirements:
- Exceptional financial modelling skills
- Strong numerical and analytical skills. With particular accuracy to numerical analysis, legal documentation and written reports.
- Have a passionate and strong willed approach towards commitment and learning.
- Relevant knowledge of the infrastructure sector.
- Manage work to agreed deadlines, with the ability to focus on various different initiatives across complex and evolving businesses.
- Proficiency in MS Word, Excel (VBA macros is desirable), PowerPoint and other key financial data terminals.
- Fluent in English and a European Language preferable.
- Problem solving skills with the ability to work autonomously and as part of a team.