Asset Manager - Copenhagen, Denmark
Geographical focus across Europe and North America?
Infrastructure & Energy sector focus?
$4 billion AUM!!! AND GROWING
My client is a dedicated investment manager focused on unlocking both equity and debt investments across infrastructure and energy sectors. Currently holding €4bn AUM across 18 assets they look to invest in long hold projects and focus on controllable asset risk and adequate protection against tail risks. My client looking for a motivated professional to join their team in Copenhagen who is meticulous and well-articulated.
This role will allow the successful candidate to work on an array of assets and contribute to other aspects of the fund. The Asset Manager will be responsible for on-going portfolio monitoring, risk mitigation, aspects of value creation and design, development and execution of exit strategies. The candidate will be responsible for assets spanning both North and Western Europe as well as North America.
-Masters degree from a leading academic institute
-Over 5 years professional experience Private Equity/Investment Banking/Asset Management (financial analysis, financial valuation, data analysis, finance modelling)
-Strong financial modelling skills
-Portfolio management exposure
-Infrastructure and/or energy sector exposure
-European and/or North America transaction experience
-Fluent in English
If you are interested in the above information, think you could be a good fit for this Asset Manager role and would like to find out more, please submit your application.
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