We are looking for an experienced Credit and Investment Risk Manager with deep expertise in credit analysis across infrastructure debt and/or leveraged finance.
You will provide independent risk oversight for Private Debt investment activities across global strategies and contribute to the continued development of the Private Markets risk framework. The role requires clear judgement, the ability to challenge constructively, and a pragmatic approach to balancing risk and return.
You will work closely with senior investment professionals in a fast-paced, international environment and represent Risk as a credible and confident counterpart in investment decision-making.
The role will be based in our London office and report to the Head of Private Debt Risk.
What You Do
Provide independent credit and investment risk coverage across infrastructure debt and leveraged finance strategies globally
Perform internal credit quality assessments, including assignment, validation, and ongoing review of internal ratings
Monitor portfolio risk across various risk dimensions (e.g. concentration, liquidity, sustainability), including scenario analysis and stress testing
Oversee liquidity risk at fund level, including assessment of cash flow dynamics and stress scenarios
Prepare risk reporting and presentations for senior management and external stakeholders
Perform independent risk assessments for new Private Credit products and investment strategies
Further develop the Private Debt risk framework, tools, and processes
Act as a key contact and trusted advisor for all private debt-related risk matters from clients and internal stakeholders
Contribute to cross-functional initiatives and maintain effective collaboration across teams
Stay current on relevant market developments in private debt and credit markets
What You Bring
Master's degree in Finance, Business, Economics, Mathematics, or a related quantitative discipline with a finance focus
Significant experience in credit analysis within infrastructure debt and/or leveraged finance (e.g. at a
You will provide independent risk oversight for Private Debt investment activities across global strategies and contribute to the continued development of the Private Markets risk framework. The role requires clear judgement, the ability to challenge constructively, and a pragmatic approach to balancing risk and return.
You will work closely with senior investment professionals in a fast-paced, international environment and represent Risk as a credible and confident counterpart in investment decision-making.
The role will be based in our London office and report to the Head of Private Debt Risk.
What You Do
Provide independent credit and investment risk coverage across infrastructure debt and leveraged finance strategies globally
Perform internal credit quality assessments, including assignment, validation, and ongoing review of internal ratings
Monitor portfolio risk across various risk dimensions (e.g. concentration, liquidity, sustainability), including scenario analysis and stress testing
Oversee liquidity risk at fund level, including assessment of cash flow dynamics and stress scenarios
Prepare risk reporting and presentations for senior management and external stakeholders
Perform independent risk assessments for new Private Credit products and investment strategies
Further develop the Private Debt risk framework, tools, and processes
Act as a key contact and trusted advisor for all private debt-related risk matters from clients and internal stakeholders
Contribute to cross-functional initiatives and maintain effective collaboration across teams
Stay current on relevant market developments in private debt and credit markets
What You Bring
Master's degree in Finance, Business, Economics, Mathematics, or a related quantitative discipline with a finance focus
Significant experience in credit analysis within infrastructure debt and/or leveraged finance (e.g. at a