Senior Manager, Portfolio Management - Platforms (Eastern Europe) at Masdar
Abu Dhabi, Abu Dhabi Emirate, United Arab Emirates -
Full Time


Start Date

Immediate

Expiry Date

18 Mar, 26

Salary

0.0

Posted On

18 Dec, 25

Experience

10 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Strategic Thinking, Business Acumen, Communication Skills, Interpersonal Skills, Cross-Functional Leadership, Value-Based Management, Commercial Concepts, Risk Concepts, Financial Modelling, Analytical Skills, Asset Management Tools, Regulatory Knowledge, Relationship Management, Operational Enhancements, Financial Engineering, Due Diligence

Industry

Renewable Energy Power Generation

Description
Company Description Established in 2006, Masdar (Abu Dhabi Future Energy Company) is a global clean energy leader, transforming how the world produces and consumes energy through bold innovation and commercial excellence. Masdar is a clean energy investor, developer and operator, advancing renewable energy projects across key markets and technologies, with a global project portfolio capacity to date of over 51 gigawatts (GW). Jointly owned by TAQA, ADNOC and Mubadala, Masdar is driving the scale-up of renewables worldwide, targeting a portfolio capacity of 100GW by 2030. Job Description Job purpose: To manage the portfolio of all operational clean energy assets in the Europe region to deliver the business cases and to maximize value by ways of financial engineering, operational enhancements, relationship management and strategic exits, while practising best-in-class governance and adhering to reporting needs. Key Responsibilities: Manage the due diligence streams, third parties consultants, ownership and accountability financial modelling, preparation of internal briefing material and closing arrangements. Prepare and implement financial and operational controls frameworks and processes in a portfolio management environment. Execute portfolio activities across multiple energy and preferably renewable operating assets. Ensure achievement operational and financial turnaround in energy and renewable assets. Manage post-acquisition integration and asset optimization (operation, technical, financial). Management of relationships with investment partners: Develop professional relationships with Masdar Investment Partners (e.g. JV’s) and actively participate in meetings ensuring adequate representation of Masdar and its interests at all times. Conduct regular high intensity interaction with investment partners, portfolio companies and projects and contribute to accurate information exchange through various reports etc. Management and reporting on asset performance: Manage and report on periodic assessments of on-going asset performance, continued value enhancement potential and areas of risk on the asset base. Ensure accurate monitoring and assessment of asset value and risk drivers as well as systematic reporting and prioritization of opportunities and risks. Manage third party capital and debt relevant to asset management: Act as a focal point to providers of third party financing for assigned assets, and identify and manage the implementation of refinancing levers for value enhancement. Maintain relationships with financing parties to understand market status and trends. Management of exit opportunities: Identify and evaluate exit opportunities and exit strategy for assets that are being managed and act as a focal point for potential buyers. Maintain familiarity and connections with potential asset off-takers. Management of stakeholders and third-party service providers: Ensure relationships with service level providers are managed smoothly and effectively in a way that guarantees that Masdar is provided with quality and timely services, in line with relevant service level agreements. As and when required by management, personally manage key relationships/negotiations with relevant internal and external stakeholders in order to ensure the negotiation and agreement of favourable deals and agreements that safeguard Masdar’s best interests while ensuring the delivery of necessary needs/goals. Qualifications Preferred Qualifications: MBA or relevant Master’s degree from a top-tier internationally recognized higher education institution Bachelor’s degree in engineering or related field Preferred Experience: 10-12 years of experience in senior roles in energy and renewables investment and asset management/portfolio operations in an energy investment environment or an equivalent experience Experience with preparing and implementing financial and operational controls frameworks and processes in a portfolio management environment Experience in private utility, IPPs or private equity Experience in the assigned region is required ( Greece) Experience in renewable energy/infrastructure investments and business development Job-Specific Skills: Strong strategic thinking and business acumen skills Exceptional communication and interpersonal skills leading to a consultative approach within a corporate / multifunctional environment Ability to integrate and lead cross-functional teams Excellent understanding of value-based management concepts Extensive familiarity with commercial and risk concepts Strong financial modelling and analytical skills Strong knowledge of tools and systems used in asset management Good understanding of relevant rules and regulations Additional Information Speaking Greek would be an advantage. As part of the application process, we will collect, store and process personal information about you. Masdar will use your personal information in accordance with our Candidate Privacy Notice, which provides details on the purposes for which your data is processed. Business unit: Chief Operating Office Division: Portfolio Management
Responsibilities
Manage the portfolio of operational clean energy assets in Europe to maximize value through financial engineering and operational enhancements. Oversee due diligence, financial controls, asset optimization, and stakeholder relationships.
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