An excellent opportunity to join a leading organisation as an Investment Manager, playing a key role in shaping investment decisions through best-in-class financial modelling.
In this role, you will design, implement, and manage a robust, scalable financial modelling framework that underpins investment strategy, project delivery, funding structures, and long-term corporate planning.
Key Responsibilities
- Lead the development, enhancement, and ongoing maintenance of complex financial models
- Establish and manage modelling standards, templates, and control frameworks
- Review and challenge bespoke models supporting business cases, delivery structures, and capital arrangements
- Ensure model integrity through structured review processes, documentation, and version control
- Partner with Investment, Finance, and Cost Management teams to validate assumptions and strengthen outputs
- Collaborate with senior stakeholders to produce high-quality financial outputs for internal approvals, investment committees, and funding submissions
Key Requirements
- 5-7 years' experience in financial modelling, corporate finance, real estate, infrastructure, or development finance
- Proven track record of building and reviewing complex financial models from first principles
- Strong understanding of investment appraisals, funding structures, capital stacks, and cash flow modelling
- Experience implementing modelling standards, templates, and best practices
- Advanced scenario modelling and sensitivity analysis skills
- Ability to translate complex financial and commercial concepts into clear, decision-support tools
- Experience with Power BI or similar data visualisation tools is advantageous
