
Infrastructure Debt Asset Management Portfolio Manager | Hybrid
Allianz Global Investors, New York, NY, United States
Portfolio Manager, Asset Management & Tax Equity – Infrastructure Debt US Team (New York)
The role is to support and oversee all assets of a current and growing book of infrastructure debt investments in North America. It also includes a tax equity component, supporting both US infrastructure and renewable energy debt & equity asset portfolios.
What You Do
Oversight of the performance, risk profile, and ongoing compliance of US infrastructure debt investments across the platform.
Primary relationship manager for underlying investors, including regular performance updates, briefings, and presentations.
Accountability for investor reporting, including quarterly and semi‑annual reports and portfolio monitoring materials.
Ownership of decision‑making processes related to consents, waivers, amendments, and restructuring scenarios, including preparation of decision request memoranda.
Oversight of construction progress, drawdowns, cash‑flow performance, and coordination with third‑party monitoring agents.
Active engagement with issuers, sponsors, and technical, legal, and insurance advisers throughout the asset lifecycle.
Leadership on ESG engagement, monitoring, and reporting in coordination with issuers and internal teams.
Close collaboration with Allianz Global Investors’s operational, finance, and risk teams to ensure effective portfolio management.
Support the Americas Infrastructure Debt investment team, including preparation of performance materials, portfolio analysis and insights, and investor communications.
Support to the Global Head of Asset Management and the CIO of Infrastructure Debt, including preparation of performance materials and investor communications.
Tax Equity
Strategic management of the existing US renewable energy tax equity portfolio, including transaction oversight, valuation matters, and buyout discussions at flip.
Ownership of cash equity portfolio strategy, including leadership of sell‑downs of existing investments.
Key relationship manager and authorized signatory for US‑based renewables equity vehicles.
Support and contribution to new tax equity transactions in coordination with internal and external stakeholders.
Ad‑hoc support for modelling and valuation work related to the European renewables portfolio, as required.
Utilization of artificial intelligence tools and resources (e.g. generative AI).
What You Bring
10+ years of relevant professional experience in infrastructure debt, infrastructure equity, renewable energy investing, portfolio management, or a related field.
Demonstrated experience with North American infrastructure assets; exposure to Latin American markets and restructuring scenarios is strongly preferred.
Strong understanding of the legal, tax, accounting, and regulatory environments relevant to infrastructure and renewable energy investments.
Proven ability to manage complex stakeholder environments, including institutional investors, issuers, and senior internal partners.
Excellent written and verbal communication skills, with the ability to present complex information clearly and concisely.
Strong analytical capabilities and high level of financial and spreadsheet literacy.
Highly organized, detail‑oriented, and able to prioritize effectively in a deadline‑driven environment.
Bachelor’s degree required; advanced degree preferred.
Fluent in English; additional languages are an advantage.
You must be legally authorized to work in the U.S. without requiring immigration sponsorship now or in the future.
We therefore welcome applications regardless of race, ethnicity or cultural background, age, gender, nationality, religion, social class, disability or sexual orientation, or any other characteristics protected under applicable local laws and regulations.
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What You Do
Oversight of the performance, risk profile, and ongoing compliance of US infrastructure debt investments across the platform.
Primary relationship manager for underlying investors, including regular performance updates, briefings, and presentations.
Accountability for investor reporting, including quarterly and semi‑annual reports and portfolio monitoring materials.
Ownership of decision‑making processes related to consents, waivers, amendments, and restructuring scenarios, including preparation of decision request memoranda.
Oversight of construction progress, drawdowns, cash‑flow performance, and coordination with third‑party monitoring agents.
Active engagement with issuers, sponsors, and technical, legal, and insurance advisers throughout the asset lifecycle.
Leadership on ESG engagement, monitoring, and reporting in coordination with issuers and internal teams.
Close collaboration with Allianz Global Investors’s operational, finance, and risk teams to ensure effective portfolio management.
Support the Americas Infrastructure Debt investment team, including preparation of performance materials, portfolio analysis and insights, and investor communications.
Support to the Global Head of Asset Management and the CIO of Infrastructure Debt, including preparation of performance materials and investor communications.
Tax Equity
Strategic management of the existing US renewable energy tax equity portfolio, including transaction oversight, valuation matters, and buyout discussions at flip.
Ownership of cash equity portfolio strategy, including leadership of sell‑downs of existing investments.
Key relationship manager and authorized signatory for US‑based renewables equity vehicles.
Support and contribution to new tax equity transactions in coordination with internal and external stakeholders.
Ad‑hoc support for modelling and valuation work related to the European renewables portfolio, as required.
Utilization of artificial intelligence tools and resources (e.g. generative AI).
What You Bring
10+ years of relevant professional experience in infrastructure debt, infrastructure equity, renewable energy investing, portfolio management, or a related field.
Demonstrated experience with North American infrastructure assets; exposure to Latin American markets and restructuring scenarios is strongly preferred.
Strong understanding of the legal, tax, accounting, and regulatory environments relevant to infrastructure and renewable energy investments.
Proven ability to manage complex stakeholder environments, including institutional investors, issuers, and senior internal partners.
Excellent written and verbal communication skills, with the ability to present complex information clearly and concisely.
Strong analytical capabilities and high level of financial and spreadsheet literacy.
Highly organized, detail‑oriented, and able to prioritize effectively in a deadline‑driven environment.
Bachelor’s degree required; advanced degree preferred.
Fluent in English; additional languages are an advantage.
You must be legally authorized to work in the U.S. without requiring immigration sponsorship now or in the future.
We therefore welcome applications regardless of race, ethnicity or cultural background, age, gender, nationality, religion, social class, disability or sexual orientation, or any other characteristics protected under applicable local laws and regulations.
#J-18808-Ljbffr