Debt Portfolio Manager, Energy Transition & Private Credit

Infrassocs

Greater London

On-site

GBP 90,000 - 130,000

Full time

12 days ago
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Job summary

Infrassocs in London seeks a Debt Portfolio Manager to oversee a private market debt portfolio across renewable technologies within the Energy Transition sector. The role emphasizes financial analysis, covenant testing, and proactive risk management to protect investor capital and support sustainable returns.

Based in London, you will own day-to-day portfolio management, maintain relationships with borrowers and advisers, and present investment memos and IC materials.

Qualifications

  • 6–8 years of portfolio management experience.
  • Experience in Energy Transition sector, incl. construction-stage assets.
  • Strong financial analysis capabilities with judgement beyond numbers.
  • Excellent organisation and project management skills.
  • High attention to data quality and deadlines.
  • Experience with Investment Committee processes.

Responsibilities

  • Own day-to-day portfolio management, including relationships, financial analysis and risk identification.
  • Review MI, monitor performance, ensure credit quality and report issues.
  • Analyze loans vs business plans, KPIs and funding terms.
  • Review borrower requests with internal approvals.
  • Review legal docs and support negotiations and documentation.
  • Maintain senior-level communication with borrowers and sponsors.
  • Prepare investment memos, quarterly portfolio reports and IC materials.
  • Be primary contact for stakeholders and escalate complex issues.
  • Ensure timely, commercial and risk-aligned execution.

Skills

Portfolio management
Energy Transition
Financial analysis
Stakeholder management
Project management
Attention to detail
Communication skills

Tools

Excel

Job description

Infrassocs in London seeks a Debt Portfolio Manager to oversee a private market debt portfolio across renewable technologies within the Energy Transition sector. The role emphasizes financial analysis, covenant testing, and proactive risk management to protect investor capital and support sustainable returns.

Based in London, you will own day-to-day portfolio management, maintain relationships with borrowers and advisers, and present investment memos and IC materials.

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