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Analyst, Portfolio Control, Infrastructure Finance

AXA

London

Hybrid

GBP 60,000 - 80,000

30+ days ago

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Job summary

Join a forward-thinking company as an Analyst in Portfolio Control for Infrastructure Finance. This exciting role involves supporting senior fund managers in managing portfolios, monitoring transactions, and conducting financial analyses. You will engage with various stakeholders, participate in investor calls, and keep track of market trends. Ideal candidates will have a strong academic background in finance or related fields and some experience in infrastructure financing. If you are driven, analytical, and eager to make an impact in a dynamic environment, this opportunity is perfect for you.

Qualifications

  • Candidates with excellent academic qualifications from diverse disciplines are welcome.
  • Some experience in infrastructure financing at a major investment manager or bank is preferred.

Responsibilities

  • Support the Portfolio Controller in portfolio monitoring and management.
  • Run financial models and develop sensitivity scenarios for stress tests.

Skills

Financial Engineering Knowledge

Modelling Skills

Analytical Skills

Fluent in English

Communication Skills

Education

Degree in Accounting

Degree in Business

Degree in Engineering

Degree in Finance

Degree in Law

Job description

Analyst, Portfolio Control, Infrastructure Finance

22 Bishopsgate, London – Hybrid

Permanent

At AXA IM our purpose, to act for human progress by investing for what matters, is central to every action we take as a business. As a responsible asset manager, we actively invest for the long-term to help our clients, our people and the world to prosper.

As a future Analyst, Portfolio Control, Infrastructure Finance, you will report to the Senior Fund Manager, and you will be part of AXA IM Real Assets.

DISCOVER your opportunity

In this role you will assist the senior fund managers in the day to day management of the portfolio including the monitoring of existing transactions and the underwriting of new transactions.

Your role and responsibilities will include:

  1. Support the Portfolio Controller in all aspects of portfolio monitoring and management
  2. Draft sections of waiver requests memoranda demonstrating a clear understanding of the key credit impact of the requests
  3. Run financial models and sensitivities as well as develop sensitivity scenarios demonstrating resilience to stress tests
  4. Monitor and report on the portfolio (identify performance risks, covenant compliance, portfolio reviews, market trends, participate in restructuring)
  5. Participate in regular borrower update calls and update the team on the performance of investments they are monitoring
  6. Participate in regular investor update calls
  7. Assist in the preparation of reporting materials prior to final proofreading by a senior team member
  8. Keep abreast of debt capital markets (monitor and track debt indices, identify trends in DCM markets)

SHARE your unique expertise

We welcome different combinations of skills & experiences.

Your qualifications and experience:

  1. We are building a team with diverse education and qualifications.
  2. We welcome candidates with excellent academic qualifications from a range of disciplines including accounting, business, engineering, finance, and law.
  3. Some experience at a major investment manager or bank in infrastructure financing.
  4. Other experience, including government, will be viewed favourably.

Your knowledge and skills:

  1. Knowledge in financial engineering, corporate legal, and accounting.
  2. Modelling skills (cash flow analysis and forecasting).
  3. Fluent in English. A second European language is an advantage.
  4. Analytical skills.
  5. Organised and rigorous.
  6. Able to communicate in an international environment.
  7. Driven by results.

We would love to know more about you. Let’s connect! Send us your resume.

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