At a Glance
- Tasks: Originate and manage impactful debt investments in Emerging Markets.
- Company: Join AllianzGI, a pioneer in Development Finance with a collaborative culture.
- Benefits: Flexible work arrangements, career development, and mental health support.
- Other info: Dynamic team environment with opportunities for growth and learning.
- Why this job: Make a real difference by investing in sustainable projects that support the UN Sustainable Development Goals.
- Qualifications: 12-14 years in Emerging Markets with strong analytical and communication skills.
The predicted salary is between 80000 - 100000 £ per year.
As AllianzGI continues to develop and grow its Development Finance investment business, there is an opportunity to join the team in London. The Senior Portfolio Manager will focus on the origination, analysis, negotiation, and execution of debt investments across Emerging Markets. Furthermore, the successful candidate will participate in the fundraising efforts across the various Emerging Markets private credit strategies. The new joiner will work closely with the London team in a collaborative and exciting high-performance team environment.
AllianzGI, with the support of our parent company Allianz, is a pioneer in Development Finance. The team focuses on creating private credit investment strategies that enable investors to invest in Emerging Markets in support of the UN Sustainable Development Goals. The team has grown in the past years and now manages more than $4Bn of commitments across three blended finance vehicles as well as tailored investor mandates. Our current strategies invest in private debt instruments mainly alongside Development Finance Institutions (DFIs) and Multilateral Development Banks (MDBs). The investments target impactful sectors such as sustainable infrastructure, renewable energy, agriculture, manufacturing, and financial institutions across Africa, Latin America and the Caribbean, Central, South and Southeast Asia.
What you do
- Identify, originate, and screen new investment opportunities.
- Assess opportunities and conduct the financial, legal, tax, insurance, commercial, technical, geopolitical, and environmental due diligence, as applicable.
- Undertake credit risk analysis, managing and overseeing the financial modelling of the investment opportunities.
- Conduct rigorous ESG and impact assessments in compliance with the relevant mandate guidelines, reviewing available due diligence and applying the necessary frameworks utilized by the Development Finance Team.
- Negotiate the term sheets and the finance documentation with the advisors, borrowers or MDBs/DFIs, as applicable.
- Manage the assistance of junior members of the team, the credit memoranda and present the investment opportunities to the Development Finance Investment Committee.
- With the assistance of junior members of the team, conduct KYCs and CP checks and prepare the closing documents engaging with relevant internal parties.
- Manage a smooth transition of closed transactions to the asset management team.
- Assess jointly with the asset management team complex waiver and amendment requests.
- Assist in the preparation of marketing materials and attend prospective investor meetings.
- Participate in the annual or semi-annual portfolio review meetings with existing investors.
- Build and maintain relationships with relevant public sector institutions such as MDBs, DFIs, etc.
- Keep informed of key developments in private credit in Emerging Markets, blended finance, and development finance, and ensure the dissemination of information to the wider team.
- Attend seminars and other trainings to supplement knowledge as required.
- Attend and/or present at relevant conferences.
- Liaise with a variety of administrative, mid-, and back-office personnel involved with the implementation of the investments.
- Conduct meetings with investors, public sector agencies, advisors, sponsors, and financial and legal advisers.
What you bring
- 12-14 years of relevant professional experience in Emerging Markets across private credit, infrastructure debt or equity, corporate lending, renewable energy investing, or a related field.
- Demonstrated experience with Emerging Markets assets including experience originating, assessing, and negotiating private credit transactions; experience engaging with MDBs and DFIs and handling restructuring scenarios strongly preferred.
- Strong understanding of the legal, tax, accounting, and regulatory environments relevant to Emerging Market investments.
- Ability to review and negotiate the full suite of legal documentation standard for private debt transactions.
- Proven ability to manage complex stakeholder environments, including institutional investors, issuers, and senior internal partners.
- Excellent written and verbal communication skills, with the ability to present complex information clearly and concisely.
- Strong analytical capabilities and high level of financial and spreadsheet literacy.
- Highly organized, detail oriented, and able to prioritize effectively in a deadline driven environment.
- Bachelor's degree required, advanced degree preferred.
- Fluent in English; additional languages are an advantage.
- AI Skills: Data Analytics.
What we offer
- We empower our employees by ensuring flexible work arrangements that maintain a balance between performance, productivity, career development, and personal priorities (e.g., hybrid model/flexible working hours).
- Securing your future: Access to company pension/savings plans.
- Shared success: Company share purchasing plan.
- Support for what matters: Mental health and wellbeing programs.
- Investments in your career: Career opportunities within the entire Allianz Group.
- Investments in your skills: Comprehensive learning and development offerings, including certifications and professional qualifications.
- Volunteering time.... and so much more!
We therefore welcome applications regardless of ethnicity or cultural background, age, gender, nationality, religion, social class, disability or sexual orientation, or any other characteristics protected under applicable local laws and regulations.
Senior Portfolio Manager - Development Finance in London employer: Allianz
AllianzGI is an exceptional employer, offering a dynamic and collaborative work environment in London that fosters professional growth and development. With a strong commitment to sustainable investment strategies, employees benefit from flexible work arrangements, comprehensive learning opportunities, and a supportive culture that prioritises mental health and wellbeing. Joining AllianzGI means being part of a pioneering team dedicated to impactful investments across Emerging Markets, all while enjoying the advantages of a global leader in Development Finance.
StudySmarter Expert Advice🤫
We think this is how you could land Senior Portfolio Manager - Development Finance in London
✨Tip Number 1
Network like a pro! Reach out to your connections in the finance and investment sectors, especially those who have experience with Emerging Markets. A friendly chat can lead to insider info about job openings or even referrals.
✨Tip Number 2
Get involved in relevant events and conferences. Not only will you learn more about the industry, but you'll also meet potential employers and colleagues. Plus, it’s a great way to showcase your passion for Development Finance!
✨Tip Number 3
Prepare for interviews by brushing up on your knowledge of private credit and Emerging Markets. Be ready to discuss your past experiences and how they align with the role. Confidence is key, so practice makes perfect!
✨Tip Number 4
Don’t forget to apply through our website! It’s the best way to ensure your application gets noticed. Plus, we love seeing candidates who are proactive about their job search.
We think you need these skills to ace Senior Portfolio Manager - Development Finance in London
Some tips for your application 🫡
Tailor Your Application:Make sure to customise your CV and cover letter to highlight your experience in Emerging Markets and private credit. We want to see how your skills align with the role, so don’t hold back on showcasing relevant projects!
Showcase Your Analytical Skills:Since this role involves a lot of financial analysis and due diligence, be sure to include examples of your analytical capabilities. We love seeing how you’ve tackled complex problems in the past!
Communicate Clearly:Your written communication skills are key for this position. Keep your application concise and clear, making it easy for us to understand your qualifications and experiences. Remember, clarity is king!
Apply Through Our Website:We encourage you to apply directly through our website. It’s the best way for us to receive your application and ensures you’re considered for the role. Plus, it’s super easy!
How to prepare for a job interview at Allianz
✨Know Your Emerging Markets
Make sure you brush up on the latest trends and developments in Emerging Markets, especially in private credit and development finance. Being able to discuss recent news or case studies will show your genuine interest and expertise in the field.
✨Master the Legal Lingo
Familiarise yourself with the legal, tax, and regulatory environments relevant to private debt transactions. Be prepared to discuss how these factors influence investment decisions, as this knowledge is crucial for a Senior Portfolio Manager role.
✨Showcase Your Negotiation Skills
Prepare examples of past negotiations you've led, particularly with MDBs or DFIs. Highlight your approach to term sheets and finance documentation, as well as any successful outcomes that demonstrate your ability to manage complex stakeholder environments.
✨Engage with ESG and Impact Assessments
Understand the importance of ESG criteria in investment decisions. Be ready to discuss how you've conducted impact assessments in previous roles and how you would apply these frameworks in line with AllianzGI's mission to support the UN Sustainable Development Goals.