Descripción de la oferta
Infrastructure Debt Investment ProfessionalCountry : SpainSantander Alternative Investments (SAI) is looking for an Infrastructure Debt Investment Professional for its Targeted Enhanced-Yield Infra Debt - TEIDE fund, based out of MADRID .IT STARTS HERESantander (www.santander.com) is evolving from a global, high-impact brand into a technology-driven organization , and our people are at the heart of this journey. Together , we are driving a customer-centric transformation that values bold thinking, innovation , and the courage to challenge what’s possible.This is more than a strategic shift. It’s a chance for driven professionals to grow, learn, and make a real difference .Santander Alternative Investments (SAI) is a growing business that started almost three years ago, with c€3bn in commitments across its core strategies The business is focused on three areas, infrastructure, private credit and real estate in which our goal is to develop funds where we have a clear competitive advantage to generate alpha for our institutional and UHNWI clients.We are proud of being an organisation where there are equal opportunities regardless of gender identity, culture or disability. Our mission is to help more people and businesses prosper. We embrace a strong risk culture and expect all professionals at all levels to take a proactive and responsible approach toward risk management.THE DIFFERENCE YOU MAKESantander Alternative Investments (SAI) is looking for an Infrastructure Debt Investment Professional for its Targeted Enhanced-Yield Infra Debt - TEIDE fund, based out of MADRID .As an Infrastructure debt investment professional within the Targeted Enhanced-Yield Infra Debt Fund, you will play a pivotal role in the management of the fund in two areas : the management (including transactional management) / monitoring of the portfolio and the origination and execution of new transactions.1. Management of investee assetsYou will coordinate the performance monitoring and management of the funds existing investments through contact with investee companies and reporting of information (for example in relation to business and investment performance and ESG issues) including summarizing this information for the investment and valuation committees. You will also be closely involved in any post investment transactional issues such as waivers, restructuring, negotiations, extensions etc and making sure that the team is across ongoing monitoring of portfolio assets, including performance analysis, covenant compliance, ESG reporting, and financial performance tracking.2. Finding and executing new dealsSpecifically the origination, execution, and management of global infrastructure and energy private credit high-yield investments. You will be expected to independently originate and analyze investment opportunities, structure and negotiate transactions, conduct comprehensive financial, ESG, and legal reviews, and manage investments (including formulating and presenting proposals to the investment committee of the fund). Collaborating closely with senior management, you will contribute to the implementation of the fund’s strategy, ensuring disciplined risk management and sustainable value creation.Furthermore, you will play a key part in portfolio monitoring, investor reporting, and maintaining strong relationships with sponsors, advisors, counterparties and institutional clients.We need someone like you to help us in the following areas :Coordinate and assess the how well existing investments are doing and coordinate how the teams maintains active dialogue in respect of performance measurement and ESG with its investee businessesCoordinate transactional issues post entry such as waivers, extensions, restructuring, etcOriginate, and preliminary evaluate investment opportunities in the infrastructure and energy high yield private credit markets, leveraging relationships mainly with companies, complemented with advisors, banks, and asset managers across geographies.Undertake the preliminary structuring and perform detailed credit, business model, and risk analyses of transactions, taking primary responsibility for drafting and preparing screening materials, investment committee memorandum, and related documentation.Conduct comprehensive due diligence processes, including financial modelling, legal review, ESG assessments, and analysis of technical, regulatory, and market risks, ensuring robust and well-documented investment recommendations.Perform detailed cash flow modelling and cash extraction analysis to evaluate debt service capacity, downside scenarios, and overall investment resilience.Prepare materials for investment committeeDrive the execution of approved transactions, leading negotiations of term sheets, financing agreements, and ancillary legal documentation, while coordinating with internal and external stakeholders.Implement and monitor Investment Committee decisions across the daily activities of the fund, ensuring timely and accurate execution.Be actively involved in fund and asset performance reporting to investors, including preparation of regular updates, participation in investor communications, and contribution to NAV calculation and review processes. Support the fundraising activity for the fund.Play an active role in fund raisingCollaborate with senior management in the devel...IdiomasSpanish
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