At a Glance
- Tasks: Lead the origination and execution of infrastructure debt investments across Europe.
- Company: Join AllianzGI, Europe's largest Infrastructure Debt asset manager with a collaborative culture.
- Benefits: Enjoy flexible work arrangements, career development opportunities, and mental health support.
- Other info: Diverse and inclusive workplace welcoming applicants from all backgrounds.
- Why this job: Make a real impact in the infrastructure sector while working with a high-performance team.
- Qualifications: 13-15 years in infrastructure finance with strong negotiation and interpersonal skills.
The predicted salary is between 100000 - 150000 £ per year.
This job is brought to you by Jobs/Redefined, the UK's leading over-50s age inclusive jobs board. As AllianzGI continues to develop and grow its Infrastructure Debt investment management business, there is an opportunity to join the Infrastructure Debt team in London. The Senior Portfolio Manager will focus on the origination, analysis, negotiation, and execution of debt investments in continental Europe covering Core, ARC and High Yield Strategies. Furthermore, the successful candidate will participate in the fundraising efforts across the infrastructure platform. This role will be appointed at the Director level, commensurate with the candidate's experience. The new joiner will work closely with the team in Munich, Paris, and New York, in a collaborative and exciting high-performance team environment.
With more than €30 billion invested in more than 190 transactions, AllianzGI is the largest Infrastructure Debt asset manager in Europe. Investments are made in core assets (social infrastructure, transportation assets, regulated utilities, and renewable energy), corporate infrastructure (in sectors such as telecom, data centres, district heating, smart meters, transportation, energy transition) and high yield infrastructure. The team is investing in greenfield and brownfield assets and is also involved in the refinancing of operational assets and corporates. The successful candidate will be an experienced and motivated individual who will exhibit the highest levels of competency, integrity, and teamwork in undertaking this role. The candidate will demonstrate access to sponsors, issuers, and advisors across the market.
What you do
- Origination, structuring, negotiation, and execution of new investments
- Identify, originate, and screen new investment opportunities
- Assess those opportunities and conduct the financial, legal, tax, insurance, commercial, technical, and environmental due diligence
- Undertake the risk and ESG assessment and conduct the internal rating of the transactions
- Manage and oversee the financial modelling of the investment opportunities
- Structure the investments and negotiate the term sheets and the finance documentation with the issuers and the sponsors
- Manage the assistance of junior members of the team, the credit memoranda and present the investment opportunities to the Infrastructure Debt Investment Committee
- Present the opportunities to current and potential investors and draft the support materials
- Conduct KYCs and CP checks and prepare the closing documents, including trade tickets and Solvency 2 valuation
Portfolio management
- Manage a smooth transition of closed transactions to the asset management team
- Assess jointly with the asset management team complex waiver and amendment requests
Fund raising and client management
- 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
Credit and infrastructure market knowledge
- Keep informed of key developments in the infrastructure and credit markets with a particular focus on high yield infrastructure and ensure the dissemination of information to the wider team
- Update weekly the transaction pipeline
- Attend seminars and other trainings to supplement knowledge as required
- Attend and/or present at infrastructure conferences
Memberships/other key relationships
- Close working relationship with team members in Munich, Paris, and New York
- Liaise with a variety of administrative, mid-, and back-office personnel involved with the implementation of the investments
- Conduct meetings with investors, project sponsors, infrastructure equity funds, construction companies, and financial and legal advisers.
What you bring
- 13-15 years of work experience in infrastructure, project and/or structured finance, with experience in high yield
- Proactive, dynamic individual with strong interpersonal skills and team player
- Fluency in English and fluency in additional European language(s) would be beneficial
- Demonstrable infrastructure finance experience in the European market including experience originating, assessing, and negotiating infrastructure debt transactions and conducting due diligence
- Expertise in creating and reviewing Excel financial models for both corporate and project finance transactions
- Good working knowledge of debt markets across loans, bonds, and private placements
- Excellent verbal and written communication skills. Strong experience in writing in a very articulated manner detailed credit memoranda
- Ability to use Microsoft Copilot, with a strong commitment to ethical and responsible AI practices.
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. For applications, please upload your CV in English. Your personal details and consent for AI support will be provided during the application process.
Senior Portfolio Manager - Infrastructure Debt in London employer: Allianz
Contact Detail:
Allianz Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Senior Portfolio Manager - Infrastructure Debt in London
✨Tip Number 1
Network like a pro! Reach out to your connections in the infrastructure and finance sectors. Attend industry events, webinars, or even casual meet-ups. You never know who might have the inside scoop on job openings or can put in a good word for you.
✨Tip Number 2
Showcase your expertise! Prepare a portfolio that highlights your past projects and successes in infrastructure debt management. This will not only impress potential employers but also give you confidence during interviews.
✨Tip Number 3
Practice makes perfect! Conduct mock interviews with friends or mentors. Focus on articulating your experience in origination, negotiation, and execution of investments. The more comfortable you are discussing your skills, the better you'll perform in real interviews.
✨Tip Number 4
Apply through our website! We’ve got a streamlined application process that makes it easy for you to showcase your talents. Plus, it shows you're genuinely interested in joining our team at AllianzGI. Don’t miss out!
We think you need these skills to ace Senior Portfolio Manager - Infrastructure Debt in London
Some tips for your application 🫡
Tailor Your CV: Make sure your CV is tailored to highlight your experience in infrastructure debt and project finance. Use keywords from the job description to show that you’re a perfect fit for the Senior Portfolio Manager role.
Craft a Compelling Cover Letter: Your cover letter should tell your story! Explain why you're passionate about infrastructure debt and how your skills align with our team's goals. Keep it concise but impactful!
Showcase Your Achievements: Don’t just list your responsibilities; showcase your achievements in previous roles. Use specific examples of successful deals or projects you've managed to demonstrate your expertise.
Apply Through Our Website: We encourage you to apply through our website for a smoother application process. It’s the best way for us to receive your application and get you on our radar!
How to prepare for a job interview at Allianz
✨Know Your Numbers
As a Senior Portfolio Manager, you'll need to demonstrate your expertise in financial modelling and investment analysis. Brush up on your Excel skills and be ready to discuss specific financial metrics related to infrastructure debt. Prepare examples of past investments you've managed, focusing on the numbers that made them successful.
✨Showcase Your Network
This role requires strong relationships with sponsors, issuers, and advisors. Be prepared to talk about your connections in the industry and how you've leveraged them in previous roles. Highlight any successful negotiations or partnerships you've facilitated, as this will show your ability to navigate the market effectively.
✨Understand ESG and Risk Assessment
Given the emphasis on risk and ESG assessments in the job description, make sure you can articulate your approach to these areas. Prepare to discuss how you've integrated ESG factors into your investment decisions and any frameworks you use for risk assessment. This will demonstrate your alignment with current market trends.
✨Be a Team Player
Collaboration is key in this high-performance team environment. Share examples of how you've worked with cross-functional teams in the past, especially in international settings. Emphasise your communication skills and how you’ve mentored junior team members, as this will highlight your leadership potential.