Manager, Asset Management | Private Credit Portfolio
Manager, Asset Management | Private Credit Portfolio

Manager, Asset Management | Private Credit Portfolio

London Full-Time 43200 - 72000 £ / year (est.) Home office (partial)
Go Premium
M

At a Glance

  • Tasks: Join our team to monitor and manage a diverse portfolio of infrastructure assets.
  • Company: Macquarie is a global financial services group with £29bn in assets, focused on innovation and sustainability.
  • Benefits: Enjoy a supportive work culture, flexible hours, and opportunities for professional growth.
  • Why this job: Be part of a dynamic team making impactful investment decisions in renewable energy and infrastructure.
  • Qualifications: 6+ years in debt analysis, strong communication skills, and experience with financial models required.
  • Other info: Diversity and inclusion are at our core; we welcome applicants from all backgrounds.

The predicted salary is between 43200 - 72000 £ per year.

With c.£29bn of assets under management, the Macquarie Asset Management Private Credit portfolio of debt investments spans a number of industry sectors and geographies (predominantly the US, UK and continental Europe), with a particular focus on renewable energy (solar and wind), conventional power, traditional infrastructure assets (roads, rail, and airports), as well as digital infrastructure, social housing, real estate and an increasing exposure to core plus infrastructure.

You’ll be part of a friendly and supportive team where everyone - no matter what role - contributes ideas and drives outcomes.

As the Macquarie Asset Management Private Credit business continues to expand, we are seeking an infrastructure investment professional to join the Portfolio Monitoring Team. In this role you will work very closely with the origination and investment professionals in our New York and London teams and take ownership of monitoring and managing a defined pool of assets located in both the US and Europe. This will include rigorous review of financial models and assumptions, review and analysis of covenanted deliverables within the debt structure (e.g., financial statements and ratios, operating reports and ESG reporting), as well as credit rating assessments. In addition, you would be required to navigate waiver and consent processes, including due diligence requirements and communicate directly with borrowers to negotiate risk balanced solutions. Key stakeholder management will also be critical to success in this role and an ability to be agile across multiple workstreams such as portfolio reporting, ad hoc projects and investor communications (written and verbal).

What you offer

  • You will likely have at least 6 years’ experience in structuring and/or analysing the risk fundamentals of infrastructure and/or corporate debt.
  • Strong verbal and written communication skills, including the ability to articulate key investment issues in a clear and concise manner to internal stakeholders and clients.
  • At ease in analytical discussions, with a rounded, commercial approach to risk decisions.
  • Experience reviewing and working with financial models whilst understanding due diligence requirements for varying proposals (legal, technical, financial and other relevant due diligence reports).
  • Background and knowledge of debt documentation.
  • Ability to work flexibly with colleagues located in both London and New York. This may include occasional late evening meetings to accommodate different time zones.

We love hearing from anyone inspired to build a better future with us. If you’re excited about the role or working at Macquarie, we encourage you to apply.

Our commitment to diversity, equity and inclusion

We are committed to providing a working environment that embraces diversity, equity, and inclusion. We encourage people from all backgrounds to apply regardless of their identity, including age, disability, neurodiversity, gender (including gender identity or expression), sexual orientation, marriage or civil partnership, pregnancy, parental status, race (including ethnic or national origin), religion or belief, or socio-economic background. We welcome further discussions on how you can feel included and belong at Macquarie as you progress through our recruitment process. Our aim is to provide reasonable adjustments to individuals as required during the recruitment process and in the course of employment. If you require additional assistance, please let us know during the application process.

M

Contact Detail:

Macquarie Bank Limited Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Manager, Asset Management | Private Credit Portfolio

✨Tip Number 1

Familiarise yourself with the key sectors mentioned in the job description, such as renewable energy and infrastructure. Understanding these areas will help you engage in meaningful conversations during interviews and demonstrate your genuine interest in the role.

✨Tip Number 2

Network with professionals in the asset management and private credit sectors. Attend industry events or webinars to connect with people who work at Macquarie or similar firms. This can provide valuable insights and potentially lead to referrals.

✨Tip Number 3

Brush up on your financial modelling skills, as this role requires a strong understanding of financial models and assumptions. Consider taking an online course or reviewing relevant materials to ensure you're well-prepared to discuss these topics.

✨Tip Number 4

Prepare for discussions around stakeholder management and communication. Think of examples from your past experience where you've successfully navigated complex situations or communicated effectively with diverse teams, as this will be crucial in the role.

We think you need these skills to ace Manager, Asset Management | Private Credit Portfolio

Financial Modelling
Risk Analysis
Stakeholder Management
Credit Assessment
Due Diligence
Verbal Communication Skills
Written Communication Skills
Analytical Skills
Portfolio Management
Knowledge of Debt Documentation
Negotiation Skills
Project Management
Adaptability to Time Zones
Commercial Acumen

Some tips for your application 🫡

Understand the Role: Take the time to thoroughly read the job description for the Manager, Asset Management position. Understand the key responsibilities and required skills, especially focusing on areas like financial modelling, stakeholder management, and risk assessment.

Tailor Your CV: Customise your CV to highlight relevant experience in infrastructure and corporate debt analysis. Emphasise your communication skills and any experience you have with financial models and due diligence processes.

Craft a Compelling Cover Letter: Write a cover letter that not only outlines your qualifications but also demonstrates your enthusiasm for the role and the company. Mention specific projects or experiences that align with Macquarie's focus areas, such as renewable energy or digital infrastructure.

Proofread Your Application: Before submitting, carefully proofread your application materials. Ensure there are no spelling or grammatical errors, and that your documents are formatted professionally. A polished application reflects your attention to detail.

How to prepare for a job interview at Macquarie Bank Limited

✨Understand the Role Thoroughly

Before the interview, make sure you have a solid grasp of the responsibilities and expectations for the Manager, Asset Management position. Familiarise yourself with the key areas mentioned in the job description, such as financial modelling, stakeholder management, and the specific sectors the portfolio covers.

✨Prepare for Technical Questions

Given the technical nature of this role, be ready to discuss your experience with financial models and debt documentation. Brush up on relevant concepts and be prepared to articulate your analytical approach to risk decisions clearly and concisely.

✨Showcase Your Communication Skills

Strong verbal and written communication skills are crucial for this position. Practice explaining complex investment issues in a straightforward manner, as you may need to communicate with both internal stakeholders and clients during the interview.

✨Demonstrate Flexibility and Teamwork

Highlight your ability to work collaboratively with teams across different time zones, particularly in London and New York. Share examples from your past experiences where you successfully navigated challenges in a team setting, showcasing your adaptability and commitment to achieving common goals.

Manager, Asset Management | Private Credit Portfolio
Macquarie Bank Limited
Location: London
Go Premium

Land your dream job quicker with Premium

You’re marked as a top applicant with our partner companies
Individual CV and cover letter feedback including tailoring to specific job roles
Be among the first applications for new jobs with our AI application
1:1 support and career advice from our career coaches
Go Premium

Money-back if you don't land a job in 6-months

M
  • Manager, Asset Management | Private Credit Portfolio

    London
    Full-Time
    43200 - 72000 £ / year (est.)
  • M

    Macquarie Bank Limited

    1000-5000
Similar positions in other companies
UK’s top job board for Gen Z
discover-jobs-cta
Discover now
>