This role sits within the portfolio operations team and is focused on supporting the Portfolio Division in ensuring the group's investment portfolio enables the execution of its long-term strategy from an integrated value chain perspective. The position contributes to the development of the annual Group Portfolio view, covering current and aspired portfolio composition, financial and operational performance, benchmarking, production profiles, and major investment risks and returns. It also plays a central role in supporting decision-making around major investments through detailed review of Management Investment Committee and Group Company Board submissions.
Bachelor's degree in a relevant discipline such as Management, Finance, or Engineering; a Master's degree is preferred. Minimum of nine years of experience in a relevant field. Strong financial modelling skills with demonstrated ability in investment analysis. Experience in portfolio analysis, investment governance, or corporate strategy within a large organization. Strong communication and presentation skills. Ability to build effective cross-functional working relationships.
Experience in portfolio analysis, investment governance, or corporate strategy within a large or complex organization. Familiarity with investment committee processes and governance frameworks.
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