Senior Analyst Infrastructure Debt Finance at AXA Insurance dac
City of London, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

29 Dec, 25

Salary

0.0

Posted On

30 Sep, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Engineering, Corporate Legal, Accounting, Modelling Skills, Cash Flow Analysis, Forecasting, Analytical Skills, Presentation Skills, Attention to Detail, Team Player, Multi-tasking, Stress Testing, ESG Processes, Investment Management, Portfolio Management, Negotiation Skills

Industry

Insurance

Description
Senior Analyst Infrastructure Debt 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 Senior Analyst Infrastructure Debt Finance, you will report to our Senior Fund Manager, and you will be part of AXA IM Alts – Real Estate. DISCOVER your opportunity The Senior Analyst Infrastructure Debt Finance will assist the senior fund manager in the day-to-day management of the portfolio, including reporting on existing transactions and underwriting of new transactions. Your role and responsibilities will include: • Support senior team members in all aspects of investments, portfolio construction and management • Assist in appraisal of new investment opportunities • Drafting of sections of investment committee memoranda demonstrating a clear understanding of the key credit characteristics of an opportunity • Run financial models and sensitivities as well as developing sensitivity scenarios demonstrating the resilience to stress tests of an investment opportunity • Review and negotiations of Non-Disclosure Agreements with counterparties according to the guideline of AXA IM Real Assets without supervision • Preparation work in relation to waivers assisting the Portfolio controller and senior members of the team • Monitor and report on the portfolio (identify performance risks, covenant compliance, portfolio reviews, market trends, participate in restructuring) • Participation in regular borrower update calls and updating the team on the performance of investments they are monitoring • Participation in regular investor update calls • Assist the preparation of marketing materials prior to a final proof reading by a senior member of the team • Keep abreast of debt capital markets (monitor and track debt indices, identify trends in DCM markets) • Assist in the execution of transactions (including KYC, liaising with Middle Office) • Management of new recruits and interns • Management of ESG processes working with the SRI team • Ownership of processes with FMCG in relation to portfolio management SHARE your unique expertise We welcome different combinations of skills & experiences. Your qualifications and experience: • Leading business schools, engineering schools or universities (end of studies students preferred). • Specialisation in Finance • CFA and legal background (desirable) • Some experience at a major investment manager or bank in infrastructure financing. • Experience in originating and closing transactions Your knowledge and skills: • Knowledge in financial engineering, corporate legal and accounting. • Modelling skills (cash flow analysis and forecasting). • Fluency in English required, French proficiency is a plus • Team player • Ability to multi-task and work under pressure • Desire and flexibility to learn and grow in a fast-paced environment • Very good analytical skills • Good presentation skills • Strong attention to detail We would love to know more about you. Let’s connect! Send us your resume.

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Responsibilities
The Senior Analyst will assist the senior fund manager in managing the portfolio, including reporting on existing transactions and underwriting new ones. Responsibilities include supporting investment appraisal, drafting investment committee memoranda, running financial models, and monitoring portfolio performance.
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