Director of Portfolio Management (Energy Transition Fund
Listed on 2026-08-02
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Finance & Banking
Corporate Finance, Financial Reporting, Financial Analyst, Financial Compliance
Location: New York
About Infra Red Capital Partners(“Infra Red”)
Infra Red is a leading international mid‑market infrastructure asset manager. Over the past 25 years, Infra Red has established itself as a highly successful developer, particularly in early‑stage projects, and an active steward of essential infrastructure.
Infra Red manages US $13bn of equity capital for investors around the globe in listed and private funds across both core and value‑add strategies.
Infra Red combines a global reach, operating worldwide from offices in London, Frankfurt, Madrid, New York, Miami, Sydney and Seoul, with deep sector expertise from a team of more than 160 people.
Infra Red is part of SLC Management, the institutional alternatives and traditional asset management business of Sun Life, and benefits from its scale and global platform.
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Job PurposeAs the Director you will bring leadership and analytical rigor to the financial and portfolio management of the Infra Red Energy Transition Fund (“IRETF”).
The role leads day‑to‑day fund management for IRETF including reporting and valuation, treasury and liquidity management, investor communications, preparation of quarterly reports, and technical/structuring support to portfolio transactions (investments, refinancings, restructurings and exits).
Key Job Responsibilities- Financial management and reporting: lead preparation of IRETF quarterly reports, assist with annual accounts, sustainability (ESG) reporting, quarterly valuations and investor returns (routine and ad‑hoc), and present financial information to investors and internally as required.
- Valuations: lead, develop and implement best practices around investment valuation; coordinate with valuation advisers and auditors to ensure robust, timely and well‑documented outcomes.
- Treasury and liquidity management: oversee and manage the treasury function for IRETF including banking facilities, letters of credit, foreign exchange management/hedging (as applicable), monitoring and managing cash positions, cash flow forecasting, investor drawdowns and distributions, and subscriptions to and distributions from investments.
- Liaison with NYC and London finance teams.
- Investor communications: maintain regular, well‑prepared communication with investors conducive to repeat business, including supporting/leading engagement at AGMs, LPACs and ad‑hoc investor meetings; respond to investor queries accurately and on a timely basis.
- Capital requirements and fundraising support: assess future capital requirements; assist with preparation of investor materials and participate in investor presentations and due diligence processes.
- Technical and structuring support to transactions: provide fund‑level and structuring support to IRETF transactions led by the investment team, including acquisitions, refinancings, restructurings and exits; support the finance team with the establishment and administration of any new vehicles required for acquisitions, co‑investments or portfolio enhancements.
- Value enhancements: identify, evaluate and manage value enhancement initiatives to maximise portfolio value and improve yield/returns in coordination with investment and asset management colleagues.
- Governance and approvals: prepare and present approval papers as required to internal committees and boards; ensure compliance with fund documentation, internal processes and delegated authorities.
- Strong infrastructure / energy transition fund management experience with a rounded financial, risk and commercial awareness and proficiency analysing financial statements.
- Previous experience in a role such as Fund / Financial Controller, Valuations or fund finance is highly relevant.
- Degree qualified with a strong academic record; CFA, CPA, ACA and/or MBA a plus.
- Strong knowledge and experience of valuations, cash flow forecasting, liquidity management and private fund reporting; experience supporting complex transactions and structuring is advantageous.
- Understanding of the US regulatory environment with respect to open‑ended funds; experience working within a controlled environment with strong governance and compliance…
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