Job Description
1. Conduct independent credit analysis for new transactions, amendments, waivers, and portfolio reviews within project and infrastructure finance
2. Assess key risk factors including structure, contractual frameworks, cash flow resilience, counterparty risk, and downside scenarios
3. Provide effective challenge to first line underwriting assumptions, financial models, and risk mitigants
4. Prepare concise, well‑reasoned credit opinions and recommendations for internal approval committees
5. Monitor portfolio performance, covenant compliance, and emerging risks across assigned sectors
6. Contribute to the development and refinement of credit policies, risk frameworks, and underwriting standards
7. Support stress testing, portfolio analytics, and thematic risk reviews as needed
8. Collaborate with legal, front office, and risk colleagues while maintaining strong 2nd LoD independence
Covered Sectors & Asset Classes
9. Renewable energy (solar, onshore/offshore wind, storage)
10. Power & utilities
11. Data centers and digital infrastructure
12. Transportation infrastructure (roads, rail, ports, airports)
13. Energy transition and decarbonization assets
14. Select social infrastructure and PPP-style financings