Fund Finance Manager
Quick Summary
Thank you for your interest in joining Alcazar Energy! Each role at our company offers the chance to make a tangible impact on the global shift towards sustainable energy.
Fund Model Ownership: Develop, update, and stress-test the full lifecycle fund financial model, including capital calls, distributions, management fees, carried interest, and NAV Performance Forecasting: Run fund-level return scenarios (IRR, MOIC)…
· CPA, ACA, or CFA qualification preferred. Preferred Experience: 5-6 years’ experience, ideally in a fund finance function within a private fund manager, e.g.
Thank you for your interest in joining Alcazar Energy! Each role at our company offers the chance to make a tangible impact on the global shift towards sustainable energy. As you consider applying, reflect on how your unique skills, passion, and vision align with our mission to innovate and energize the world responsibly.
Established in 2014, Alcazar Energy Partners is a leading independent investment manager focusing on investing and developing utility scale renewable energy projects in growth markets. The firm has raised USD 730 million in investor commitments across its two funds Alcazar Energy Partners I (USD 240 million) and Alcazar Energy Partners II (USD 490 million). Alcazar Energy Partners I is fully exited and delivered top-decile returns to its investors. Alcazar Energy Partners II is domiciled in Luxembourg and is actively investing and developing some of the largest projects in the Western Balkans and MENAT regions, with a secured pipeline of over 5 GW. With a proven track record, a growing portfolio, and a strong commitment to sustainability, Alcazar Energy Partners offers an exciting opportunity to be part of a purpose-driven organisation creating long-term value for investors and communities alike. The firm maintains a local presence in the UAE, Egypt, Serbia, Montenegro, and North Macedonia.
Responsibilities
~2 min read- →
Fund Model Ownership: Develop, update, and stress-test the full lifecycle fund financial model, including capital calls, distributions, management fees, carried interest, and NAV
- →
Performance Forecasting: Run fund-level return scenarios (IRR, MOIC) and prepare outputs for internal and external stakeholders.
- →
Run sensitivity analysis and stress testing for the funds to support in-house risk management and/or investment team’s presentation to the Investment Committee.
- →
Integrate project-level financial models into fund models, ensuring consistency and accuracy of assumptions, and coordinate inputs from corporate finance as well as outputs back to corporate finance for consolidated reporting and analysis.
- →
Senior stakeholder management – present modelling outputs to the Partners and other members of the team.
- →
Capital Management: Track LP commitments, capital calls, and distributions; monitor liquidity and cash flow planning at the fund level.
- →
Valuations: Prepare valuations in collaboration with Investment team and support Accounts team with valuation related queries and supporting calculations.
- →
Waterfall Calculations: Maintain accurate and compliant waterfall models for carried interest distribution.
- →
LPA model alignment: good understanding of private fund’s limited partnership agreements (LPA) and ensure fund model complies with all LPA specificities.
- →
Investor Support: Collaborate with IR to respond to LP queries, DDQs, and reporting requirements; support fundraising.
- →
Coordination: Liaise with administrators, legal, tax, and investment teams for accurate modelling inputs and assumptions.
Requirements
~1 min readRequirements
~1 min read· CPA, ACA, or CFA qualification preferred.
Nice to Have
~1 min read5-6 years’ experience, ideally in a fund finance function within a private fund manager, e.g. infrastructure, private equity, real estate, private debt, Big 4 with experience in Infrastructure etc.
Expert in Excel modelling (fund waterfall, capital accounts, performance metrics).
Excellent senior stakeholder management skill
Strong understanding of fund structures, LPA terms, and private fund economics.
Familiar with IFRS/US GAAP for funds and valuation methodologies.
Experience with portfolio monitoring systems or fund admin platforms (e.g. eFront, Investran, Allvue).
Impeccable excel & modelling skills
Excellent interpersonal and presentation skills
Exhibits a professional demeanour with a constructive and committed attitude
Mastery of MS Office tools
Quality focused with a strive for excellence
Fluent in written and spoken English
High attention to detail
We appreciate your time in considering a career with Alcazar Energy. By joining our team, you’re choosing to stand at the forefront of the renewable energy industry, contributing to projects that prioritize integrity, quality, and sustainability. As you share our commitment to making a difference, we look forward to potentially welcoming you aboard.
Location & Eligibility
Listing Details
- Posted
- May 8, 2026
- First seen
- May 8, 2026
- Last seen
- May 9, 2026
Posting Health
- Days active
- 0
- Repost count
- 0
- Trust Level
- 52%
- Scored at
- May 8, 2026
Signal breakdown
Please let alcazar-energy know you found this job on Jobera.
3 other jobs at alcazar-energy
View all →Explore open roles at alcazar-energy.
Similar Finance Manager jobs
View all →Browse Similar Jobs
Stay ahead of the market
Get the latest job openings, salary trends, and hiring insights delivered to your inbox every week.
No spam. Unsubscribe at any time.