Transaction Manager, Infrastructure Private Equity Fund

Allbyn

Greater London

On-site

GBP 85,000 - 120,000

Full time

5 days ago
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Job summary

Allbyn in London is a leading global infrastructure investment manager expanding its Funds and Transactions Management team. This cross‑functional role works closely with Investment, Asset Management, Capital Formation, Tax & Structuring, Compliance and external advisors to launch new investment products and manage transactions across the lifecycle.

From concept through fundraising, deployment and execution, you’ll own project plans, coordinate provider onboarding, review documentation, and

Responsibilities

  • Manage project plans, deliverables, and timelines for new fund launches.
  • Coordinate entity incorporation, onboarding of service providers, KYC, and bank accounts.
  • Build and manage transaction close timetables with the Investment team.
  • Coordinate legal documentation (funding docs, board resolutions, shareholder loans, subscription docs).
  • Compile and hand over deal documentation post‑close.
  • Analyse LPAs, side letters, waterfalls, and fund economics.
  • Prepare fund and managed account models for prospective investors.
  • Work with multiple teams to validate model inputs and present outputs to senior stakeholders.

Job description

We are supporting a leading global infrastructure investment manager that develops and manages essential infrastructure assets. They’re growing fast and hiring into a high‑impact role within their Funds and Transactions Management team, which is a commercially focused team within the Finance function.

This team is responsible for launching new investment products and managing transactions throughout the investment lifecycle. It’s a genuinely strategic, cross‑functional role working closely with Investment, Asset Management, Capital Formation, Tax & Structuring, Compliance, and external legal/tax advisors.

You’d be involved from the concept stage of each new product, through fundraising, deployment, and transaction execution. The role suits someone who enjoys variety, project ownership, and working across multiple stakeholders.

Below is a snapshot of the key responsibilities:

New Product Development
  • Manage project plans, deliverables, and timelines for new fund launches.
  • Coordinate entity incorporation, service provider onboarding (administrators, depositary, AIFM, banks), KYC, and bank account setup.
Transaction Management
  • Build and manage transaction close timetables with the Investment team.
  • Coordinate legal documentation (funding docs, board resolutions, shareholder loans, subscription docs).
  • Compile and hand over deal documentation post‑close.
  • Analyse LPAs, side letters, waterfalls, and fund economics.
  • Prepare fund and managed account models for prospective investors.
  • Work with multiple teams to validate model inputs and present outputs to senior stakeholders.

This role would suit someone currently in a comparable role within a Fund or an advisory firms Transaction Services, M&A or similar function.

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