Portfolio Bond Manager Renewable Energy - Madrid, España - Aquila Group

Aquila Group
Aquila Group
Empresa verificada
Madrid, España

hace 3 semanas

Isabel García

Publicado por:

Isabel García

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Descripción

Aquila Clean Energy is a leading renewable energy company committed to transforming the world's energy landscape through sustainable and innovative solutions. With a focus on wind, solar photovoltaic (PV) and battery storage technologies, we strive to accelerate the transition to clean energy and create a brighter, greener future for generations to come.

For our office in
Madrid, Hamburg, Lisbon, Milan or Athens,
We are seeking a highly motivated and experienced
Portfolio Bond Manager to join the Investment Management Portfolio team.

As a Portfolio Bond Manager, you will play a pivotal role in overseeing and managing the surety bond and guarantee needs for our development and construction portfolio.


Your Responsibilities

  • Originate and maintain strong relationships with brokers and banks to secure surety bonds and guarantees.
  • Effectively manage corporate surety facilities to ensure adequate coverage for bonding needs.
  • Proactively originate new bonding capabilities and implement Aquila's internal procedures to gain approval and signoff on bonding policies.
  • Origination of our bonding capabilities and do the followup of Aquila's internal procedures to get the approval and signoff of our policies.
  • Collaborate closely with local teams to issue bonds across multiple regions, including Spain, Portugal, Greece, Italy, Germany, and APAC.
  • Obtain timely approval for premium invoices to ensure seamless payment processing.
  • Prepare comprehensive monthly presentations and reports for senior management, providing insights into bonding activities and financial performance.
  • Maintain close communication with insurance companies and banks, keeping them informed about Aquila's financial status and project updates.

Your Qualifications

  • Higher education degree in Finance, Economics, or a related field.
  • 57 years' experience in relevant areas in corporate finance and/or banking.
  • Demonstrated expertise in financial analysis/modeling, project finance, M&A, risk assessment, or portfolio management.
  • Relevant experience working with advanced Excel functions and largescale datasets.
  • Excellent communication and interpersonal skills to foster strong relationships with brokers, banks, insurance companies, and internal teams.
  • Proven ability to work independently and manage multiple projects simultaneously while maintaining attention to detail and adherence to deadlines.
  • Fluency in English. Knowledge of an additional language, including Spanish, Portuguese, Italian, German or German, would be a plus.

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