Senior Manager, Renewable Investment & Risk

Pattern Energy

San Francisco (CA)

On-site

USD 128,000 - 173,000

Full time

3 days ago
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Benefits offered by this job

Bonus program
Comprehensive benefits package
401(k) / retirement plan

Job summary

Pattern Energy Group seeks a Senior Manager, Investment and Risk Management to strengthen investment governance and risk analytics across development, acquisition, financing, and operation of renewables assets.

The role collaborates with Finance, Commercial, Legal, Tax, Insurance, and Treasury to advance ERM and capital allocation, report to AVP-level leadership, and drive process improvements and system enhancements.

Qualifications

  • Bachelor’s degree in Finance, Mathematics, Engineering, Economics or related field.
  • 8+ years of relevant direct experience.
  • Experience in renewable energy or power project finance, tax equity, private equity, or investment banking.
  • Strong analytical, modeling, and process-improvement skills.

Responsibilities

  • Assess risk-adjusted returns, key assumptions, and downside exposures across development, acquisition, financing, and operating assets.
  • Analyze portfolio-level risks, including concentration, diversification, scenario outcomes, and correlations.
  • Identify, assess, and monitor enterprise-level risks related to investments, market dynamics, and liquidity.
  • Support development of ERM processes, tools, and analytics as the company scales.
  • Collaborate with Finance, Legal, Tax, Insurance, Treasury and Asset Management teams to ensure consistent risk evaluation.
  • Lead and support transactional finance activities across development, acquisition, financing, refinancing, and divestment transactions.

Skills

Financial modeling
Risk assessment
Portfolio optimization
Cross-functional collaboration
Strategic thinking

Education

Bachelor’s degree in Finance, Mathematics, Engineering, Economics or related area
MBA a plus

Job description

Pattern Energy Group seeks a Senior Manager, Investment and Risk Management to strengthen investment governance and risk analytics across development, acquisition, financing, and operation of renewables assets.

The role collaborates with Finance, Commercial, Legal, Tax, Insurance, and Treasury to advance ERM and capital allocation, report to AVP-level leadership, and drive process improvements and system enhancements.

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