Associate, Portfolio Analysis team
We believe in making the world a better place, one sustainable investment at a time and are looking for you who wants to be a part of that journey.
Infranode is now looking to add a talented individual to our Portfolio Analysis team. We believe in making the world a better place, one sustainable investment at a time and are looking for you who wants to be a part of that journey.
The role is placed in the Portfolio Analysis team which is part of our Investment Management function. As an Associate you will work with a broad range of infrastructure assets held by Infranodes funds. In addition to recurring valuations, you will, as part of the Investment Management function, evaluate strategic options for the portfolio such as new acquisitions, long-term business planning and refinancing processes. You will also work on continuously developing and refining financial models used in performing valuations of infrastructure assets.
With Infranode expanding rapidly, there will be ample opportunity for you to grow in your role according to the company’s needs and your particular skill set. The role is well suited for someone with an analytical mindset who is keen to continue developing skills in financial modelling, valuation and macro-research, and to gain experience in long-term infrastructure investments.
Your main areas of responsibilities will be:
- Develop and adapt models for new investments as well as for existing portfolio assets. This work will support efficiency in transactions and recurring valuations, and provide the ability to perform strategic evaluations, business plan updates and scenario analyses.
- Work with the Investment Management function to evaluate initiatives aimed at optimising performance and investor returns of portfolio assets.
- Prepare analyses on themes relevant to the valuation of infrastructure assets, such as developments in financial markets, and changes to legislation and regulations.
- Prepare and review quarterly valuations of assets in the investment portfolio for financial reporting purposes, to meet regulatory requirements, and in accordance with the investment agreements.
- Verify and review financial reporting and investor material to ensure data is accurate and fairly reflects the valuation of portfolio assets.
- Develop, program and test models used for valuation and performance simulation of portfolio assets.
We believe the ideal candidate should have:
- A minimum of 3-4 years’ experience with advanced modelling work within valuations, corporate finance, investment banking, an M&A boutique and/or, a Big 4 firm or similar
- Extensive experience working with and developing financial models used for valuation, refinancings and/or business- planning.
- Experience from Infrastructure or Credit side is a strong merit
- Good understanding of accounting, financial analysis, and valuation concepts. A strong interest in Macro analysis is an advantage to thrive in the role.
- Ability to work independently and to drive their work whilst seeking the necessary guidance from colleagues as appropriate to meet deadlines
- Proficiency in working with tools such as MS Office (including VBA), Experience in applications such as Power BI, SQL, Python, and/or R is a merit but not requirement
- Strong presentation and communication skills; and
- Fluency in English and at least one other of the following languages: Swedish, Norwegian, Danish or Finnish
Application
In this process we are collaborating with Finance Recruitment, all applications should therefore be submitted through Finance Recruitment on Associate Portfolio Analysis team - Finance Recruitment
Why Infranode?
At Infranode we believe that each employee’s career development is paramount to both the company’s and the employee’s success. Investing in our employees’ development and success are cornerstones to our company’s values. Wellbeing and personal growth will be a natural part of your journey at Infranode and as such we take our responsibilities as an employer as seriously as we take our investments in infrastructure.
To thrive at Infranode, you will need to share our core values. We believe in creating value and building a more sustainable society through making responsible, long-term investments that improve the environment and the world we live in. These fundamental values permeate the entire organisation's ways of working, and it is therefore important that you want to work in a sustainable and long-term manner.
- Department
- Valuation
- Locations
- Stockholm
About Infranode
Infranode is a long-term infrastructure investor in the Nordic countries, focusing on energy and renewables, digital infrastructure, transport, and social infrastructure. With offices in Stockholm, Helsinki, Copenhagen, and Oslo, Infranode manages approximately EUR 1.8 billion in committed capital from prominent long-term institutional investors, including pension funds like Storebrand, Folksam, KPA Pension, AP4, the European Investment Bank (EIB), and KEVA.
As a long-term partner to both private and public sectors, Infranode invests with a 25-year horizon, focusing on stable returns. We incorporate responsibility at every stage, from investment analysis to asset management, ensuring enduring value for society.