AIE is an equity-oriented infrastructure group that employs both value-add and core strategies to invest in assets and companies within the sustainable infrastructure, asset class. Target sectors include renewable energy, energy storage, natural gas, transportation, resource efficiency, low carbon molecules, infrastructure services, and digital infrastructure. We leverage our technical and financial skill set, industry relationships, and the Ares platform to source proprietary deal flow, structure downside protection, and seek attractive risk-adjusted returns for our investors.
We manage ~$8.5bn across our two strategies and three main funds. AIE draws upon a broadly-skilled and cohesive team of approximately 30 investment professionals with deep sector expertise and strong industry relationships.
Primary Functions and Essential Responsibilities:
The candidate will be responsible for portfolio management of investments made by Ares Core Infrastructure Fund (“ACI”). ACI is a perpetual, open-ended, core infrastructure fund that will primarily be making asset-level investments in the renewable, thermal, midstream, and digital sectors.
Responsibilities will cover a range of Financial Planning and Analytics (“FP&A”) initiatives including monthly valuation analysis and reporting, tracking financial and operational investment performance, preparing financial and operational reporting, monitoring contract compliance and counterparty reporting, fund-level modeling analysis, and presenting analyses to internal and external stakeholders. The candidate will directly support the Investment Team on existing and new investments.
Key Responsibilities of the role will include:
Producing detailed Net Asset Value (“NAV”) analysis on a monthly basis and NAV forecasts
Monitoring, reporting, and analyzing operational and financial performance of projects and investments versus budget
Interfacing with portfolio investment counterparties, financing counterparties, and other external partners
Monitoring contract compliance including preparation of key metrics such as Debt Service Coverage Ratios
Fund-level financial modeling, updating investment projections to match realized and revised projected performance, and other quantitative analysis
Preparation and presentation of analyses and reporting materials to internal and external stakeholders
Collaborating closely with the Investment team, FP&A team and other internal stakeholders to ensure accurate reporting and compliance with financial regulations
Qualifications:
Bachelor's degree or international equivalent, along with relevant work experience
2-3 years of finance or accounting experience with exposure to (i) valuation methods and (ii) power, energy, or infrastructure experience required
The candidate should possess strong finance and analytical abilities as well as strong financial modeling capabilities (in Excel) and excellent communication skills (verbal and written). Industry knowledge and experience is strongly preferred.