Debt Portfolio Manager - Energy Transition
We are seeking a Debt Portfolio Manager to oversee and optimise a portfolio of financing exposures supporting the energy transition. This role will focus on renewable energy, energy efficiency, electrification, clean transport, sustainable infrastructure and related technologies. You will be responsible for monitoring portfolio performance, assessing credit quality and identifying emerging risks across a range of complex debt investments, including project finance, corporate lending and structured transactions.
Key responsibilities will include reviewing financial performance, covenant compliance, cash flow forecasts and borrower reporting; leading regular portfolio reviews; preparing risk assessments and investment committee materials; and recommending appropriate actions to protect portfolio value. You will work closely with origination, credit, legal, ESG, finance and risk teams to support new investments, amendments, restructurings, waivers and exit strategies. The role will also involve maintaining accurate portfolio data, developing reporting and forecasting tools, tracking sector and market developments, and ensuring that exposures remain aligned with applicable risk, sustainability and regulatory standards.
The successful candidate will have substantial experience in debt portfolio management, credit analysis, project finance, corporate lending or a closely related investment discipline. Experience with energy transition or infrastructure assets is highly desirable, together with a strong understanding of financial modelling, loan documentation, credit structuring and risk mitigation. You will be commercially minded, analytical and confident interpreting complex financial and technical information. Excellent communication and stakeholder management skills are essential, as is the ability to exercise sound judgement, manage competing priorities and present clear recommendations to senior decision-makers. A relevant degree in finance, economics, business, engineering or another quantitative discipline is expected; professional qualifications in credit, investment or risk management would be advantageous.
Debt Portfolio Manager - Energy Transition
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