Debt Portfolio Manager - Energy Transition
HybridLondon, England, United Kingdom
Job Summary
Manage an assigned portfolio of private market debt across energy transition technologies, including relationship management, financial analysis, cashflow modelling, and proactive risk identification. Monitor management information, interrogate financial performance, and review transaction legal documentation to ensure credit quality and timely reporting to senior management. Analyze loan performance against business plans and KPIs, approve borrower requests such as waiver letters, and maintain regular senior-level communication with borrowers, sponsors, and advisers. Prepare high-quality investment memos, quarterly portfolio reports, and Investment Committee materials, acting as the primary point of contact for internal and external stakeholders on portfolio matters.
Required Qualifications
- Extensive years of experience of managing a portfolio of loans in an active lending organisation, ideally in a portfolio function.
- Experience of managing investment or loans in the Energy Transition sector, including construction stage assets.
- Strong financial analysis capability with demonstrated ability to apply judgement beyond the numbers, balancing risk, structure and commercial context.
- Strong organisation and project management, with ability to manage end-to-end process with internal and external parties.
- High attention to detail, with full ownership of data quality, information accuracy, and adherence to deadlines.
- Experience in portfolio management in either credit analysis or commercial management, with exposure to Investment Committee processes.
- Excellent written and verbal communication skills – presents ideas in a clear, concise and constructive manner.
Desired Qualifications
- Master's degree preferred
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