Senior Fund Manager (m/w/d) 可再生能源
Aquila Capital
公司概况
Aquila Capital,自2024年起为德国商业银行集团成员
总部德国,汉堡
成立时间2001年
规模约200名员工,分布于七个欧洲国家,设有八个办事处,管理资产规模达65亿欧元(来源:aquila-capital.de)
业务范围
Aquila Capital是一家专注于另类投资的资产管理公司,重点投资于“核心必需资产”,尤其是清洁能源和可持续基础设施领域(来源:aquila-capital.de)。公司提供全面的投资平台,涵盖股权和私募债务投资,并作为德国BaFin监管下的持牌另类投资基金管理人(AIFM),提供投资组合管理、风险管理、基金管理、投资管理、结构设计、估值及ESG报告等服务(来源:aquila-capital.de)。其投资重点包括风能、太阳能光伏、水电、储能电池、可持续房地产、绿色物流、能源效率、林业及数据中心(来源:wikipedia.org,ft.com)。主要客户为全球机构投资者,同时为私人客户提供定制化解决方案(来源:aquila-capital.de,ft.com)。
项目与业绩
截至2023年12月31日,Aquila Capital管理着一个涵盖风能、太阳能、水电及储能电池的庞大投资组合,总装机容量约为25.7吉瓦(来源:ft.com)。此外,投资组合还包括可持续房地产和绿色物流项目,在风能、太阳能和水电领域的容量超过12吉瓦(来源:growjo.com)。这些项目遍布欧洲及其他全球市场,运营网络通过设立于七个欧洲国家及其他国际地点的多个办事处得到支持(来源:lobbyregister.bundestag.de,aquila-capital.de)。
最新动态
2024年,Aquila Capital通过对Aquila Capital Investmentgesellschaft mbH的控股收购,成为德国商业银行集团成员,显著改变了其所有权结构(来源:gp-intel.com,pitchbook.com)。2024年4月,公司报告称其代表机构投资者管理的资产规模约为146亿欧元,且截至2023年底,其清洁能源投资组合装机容量约为25.7吉瓦(来源:markets.ft.com)。此外,2026年在汉堡、卢森堡和马德里的积极招聘活动显示公司持续扩张并对跨境专业人才的需求不断增长(来源:linkedin.com)。
工作环境
Aquila Capital在投资管理、基金管理、法律、产品结构设计、会计、资产结构、可再生能源、风险投资、风险债务及私募债务等领域提供多样化的职业机会(来源:linkedin.com)。主要工作地点包括汉堡、卢森堡和马德里,体现了公司的国际化战略。企业文化强调专业且跨学科的团队合作,专注于可持续和核心必需资产。作为持牌AIFM,Aquila Capital还为金融、法律、运营及基础设施投资领域的专业人才提供了一个专业且全面的工作环境,涵盖基金和风险管理、估值及ESG报告等服务(来源:aquila-capital.de)。
最后更新于 9月 4, 2026 | 报告问题
Aquila Capital offers compelling investment opportunities that drive global decarbonisation. Specialising in clean energy, green infrastructure and sustainable real estate, we are providing tailored fund vehicles and investment solutions with a focus on sustainability and aim to become one of the leading asset managers for sustainable investment strategies in Europe with a global reach.
For our office in Luxembourg, we are looking for a
Senior Fund Manager (m/f/d) Renewables / Clean Energy
The Role
As a Fund Manager, you will act as the key person for investors and assume overall responsibility for the growth and performance of a clean energy investment funds/ mandates.
Your responsibilities
- Lead the development and ongoing management of investment funds and mandates focused on clean energy assets
- Construct and optimize portfolios through quantitative and qualitative analysis, translating insights into strategic and tactical asset allocation decisions.
- Oversee fund-level finance operations including liquidity and capital planning, investment controlling, and comprehensive portfolio monitoring and reporting.
- Serve as primary investor interface for portfolio-related matters, supporting investor committees and collaborating with Sales on pitches, meetings, and transaction communication.
- Assess, structure, and execute new investments; engage in portfolio rebalancing, divestments, and other strategic initiatives with early involvement in the transaction process, including SPA negotiation.
- Continuously evaluate key performance drivers against strategy and targets, enhancing the portfolio's risk-return profile through active management.
- Manage critical fund administration processes such as audits, resolutions, and data governance to ensure operational excellence.
- Secure portfolio funding (equity and debt) in partnership with Group Treasury and Sales, optimizing capital structures across fund vehicles.
- Drive automation and digitalization of fund and portfolio management processes; develop and refine analytical tools to improve decision-making efficiency.
- Monitor industry trends, regulatory developments, and market dynamics in the renewable energy sector to inform and refine portfolio strategy.
- Represent the fund through board mandates for fund and portfolio companies, contributing to governance and strategic oversight.
Your qualifications
- Professional experience within an AIFM, Asset Manager, Advisory Firm (7-10+ years experience).
- University degree in business or economics or any other investment related field.
- Transaction experience in the Clean Energy sector, ability to run / sponsor a transaction process
- Solid understanding of fund management and the investment lifecycle
- Ability to manage institutional investor interfaces
- High level of initiative, independence and excellent organisational skills with a collaborative mindset.
- Excellent interpersonal, communication, and stakeholder management skills
- Qualifications such as CFA, CAIA, ACCA, etc. are considered a plus but not required.
- Fluency in English, an additional European language is highly desirable.
- Experiences in the renewable sector / clean energy funds or similar is mandatory
立即申请
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