- Job type
- Not listed
- Work mode
- On-site
- Level
- Entry Level
- Department
- Finance and Accounting
- Experience
- 1+ year experience
- Posted
- Sep 25, 2026
About the role
DESCRIPTION:
- Support the origination and execution (financial modelling and analysis, structuring, documentation) of infrastructure and energy investment opportunities with a primary focus on the Americas, with flexibility to work across other target regions
- Financial modelling and analysis
- Assist in managing and reviewing due diligence and structuring work-streams including the management of technical, legal, and financial advisors and support in ESG, tax, insurance and other work streams
- Assist in preparation of presentations of investment opportunities to the investment committee
- Provide analytical and research support to the team on competitor analysis and market reviews
- In depth examination of the investment portfolio to identify savings and other value enhancements such as refinancing
- Provide support to the portfolio management and asset management teams including quarterly and Semi-annual valuations of the assets held in the portfolios, including review of financial model updates from project companies
- Updating fund forecast models to look at future projections for business planning, modelling of equity returns and key commercial and financial inputs (including debt facilities and further equity capital raisings)
- Cross collaboration with portfolio management, capital formation, and asset management teams including rotational placements to support reporting processes and board oversight
REQUIREMENTS:
Bachelor’s Degree in Finance, Mathematics, Management Science or related quantitative field and 1 year of experience in the job or related position. Prior experience to include:
- Infrastructure or energy experience from working with a project finance advisor developer, industrial sponsor, infrastructure fund, investment bank and/or lending institution (e.g. PPP/P3, renewable energy, energy & power, transportation.)
- Preparing numerical analysis, written reports, and legal documentation
- Financial modelling
- Managing several simultaneous initiatives and delivering work to agreed deadlines
- Synthesizing complex matters effectively and concisely
- Analyzing commercial drivers in relation to existing assets and new transactions, including key drivers for value enhancement
- Proficient in Word, Excel, PowerPoint.