💡 Recomiendo: Echa un vistazo también a ofertas de trabajo similares entre las que seguramente encontrarás algo que te interese.
Clean Energy Infra Debt Asset Controller
Responder al anuncioOverview of the Role:
Clean Energy Infra manages funds that invest in renewable power generation assets in Europe, US and APAC. The funds are invested in a mix of capital appreciation and cash flow generative assets. Investments include assets in operation, construction and development in three main areas: wind, solar, and biomass.
The Asset Controller for these Debt Strategies will be joining a high performing asset management team and work closely with the investment team to ensure asset portfolios are effectively managed.
Key responsibilities:
- Monitoring risk of the portfolio over time including undertaking financial risk assessments, financial model updates and sensitivity analysis with re-forecasting as necessary
- Oversight of regular reporting received from securitisation vehicles/servicers and performance assessment of the asset and underlying loan portfolios
- Oversight and direction of legal counsel on ad-hoc project matters e. g. default recovery
- Coordination of cash management with focus on protecting value for the assets and generating a maximum long-term return for our investors
- Development and management of asset operating models
- Management of regular deliverables to internal stakeholders, including asset reporting packs, financial return projections, risk assessments and other ad hoc deliverables
- Coordination of delegated financial and commercial representatives (external servicers, legal counsel, administrators)
- Support fund management activities e. g. cash flow forecasting, quarterly and annual investor reporting including investor queries as it pertains to the asset portfolio
- Reviewing and developing governance and risk management framework for portfolio management
Qualifications & Experience Required
- Min 3 years relevant working experience
- Financial service or risk background gained in: portfolio management departments in Banks, Big 4 accounting firms and similar advisory firms
- Experience with asset backed securities/structured finance/credit funds required
- Experience in investment/portfolio risk management desirable
- Experience with project finance documentation and interaction desirable
- Financial control experience in Fund Management/ Corporate desirable
- Relevant experience or interest in power industry or sustainability desirable
- Fluent in spoken and written English required with additional European languages desirable
- Candidates must have the right to work in the UK/ Spain-EU-27
- Sound and solid financial toolkit (Manage and update models, analysing financial statements, performing valuations, structuring deals)
- A strong academic background is required as demonstrated by an excellent degree
- CIMA, ACA, ACCA, CFA desirable
¡Sea el primero en responder a este anuncio de trabajo!
-
¿Por qué está buscando trabajo en Trabajas.es?
Crear alerta de empleo
Cada día nuevos anuncios de trabajo Puede elegir entre una amplia gama de trabajos: nuestro objetivo es ofrecer una selección lo más amplia posible Déjenos enviar nuevos anuncios por correo electrónico Sea el primero en responder a las nuevas ofertas de empleo Todos los anuncios de trabajos en un único lugar (de empleadores, agencias y otros portales) Todos los servicios para demandantes de empleo son gratuitos Le ayudaremos a encontrar un nuevo empleo