Octopus energy group

Portfolio Manager

London (GB) Full Time
Help us make a big green dent in the universe. We're on a mission to drive the global renewable energy revolution, and we need many more people to help us make our vision a reality.
 
Octopus Energy Generation (OEGEN) is a leader in sourcing, investing in, and managing a wide range of utility-scale renewable energy assets. As we continue to expand our investment base, we are dedicated to building a diverse team that reflects the communities we serve. Currently, we manage a global portfolio of over £7 billion in renewable energy assets.
 
We are committed to delivering best-in-class responsible investment activity, offering like-minded investors the means and products to invest their capital sustainably. It is our ambition to change the entire energy lifecycle and make every green electron matter, delivering the best outcomes for customers, investors, the environment and society, accelerating the transition to net zero.
 
About the role:

We are seeking a Portfolio Manager to join the OEGEN Fund Management Team, reporting to the Head of Funds and Sustainability. For your assigned portfolios, you will have full accountability for the quality, rigour and delivery of all fund management processes, including Investor (Equity) and Lender (Debt) Management. You will be an experienced people manager with at least one direct report and will ensure that governance, reporting and financial oversight are delivered to a consistently high standard.

The six funds under your responsibility are established partnership mandates investing across solar, onshore and offshore wind. These are closed to new investment and are now focused on disciplined value optimisation to deliver returns through asset performance enhancement, capital structure management and, where appropriate, exits.

This role requires a combination of process discipline and commercial judgement. You will take pride in producing clear, accurate and insightful investor reporting and will enjoy owning the cadence of quarterly valuations, board materials, lender reporting and performance analysis. At the same time, you will act as a steward of investor capital, challenging assumptions, identifying optimisation opportunities and bringing structured thinking to hold versus sell decisions. You will continuously improve fund management processes to ensure scalability as AUM grows, while maintaining strong investor confidence and governance standards.