Lead Portfolio Manager EU
- Posted 02 July 2025
- Salary Competitive Salary (DOE)
- LocationDenmark
- Job type Permanent
- Discipline Renewable Energy
- ReferenceEM-4256533897
Job description
Our client is looking for a commercially savvy and strategically driven Lead Portfolio Manager to help accelerate the growth of their renewable asset portfolio across the European energy markets. This high-impact role is instrumental in securing long-term offtake agreements, optimizing asset performance, and creating innovative trading solutions. The successful candidate will bring in-depth knowledge of EU power markets, strong analytical skills, and a collaborative mindset to help shape the future of sustainable energy trading.
About the Role
As Lead Portfolio Manager, you will lead the structuring and optimization of trading agreements with third-party renewable and flexible assets across Europe. You’ll play a central role in managing asset portfolios, developing pricing strategies, and ensuring seamless integration of asset contracts into trading operations. Working closely with Origination and Trading teams, your focus will be on driving long-term commercial success in renewables such as wind, solar, and battery storage.
Key Responsibilities:
Develop and optimize trading agreements for renewable and flexible energy assets.
Collaborate with Origination to price and structure long-term contracts.
Manage portfolio risk across multiple asset classes and European markets.
Design and implement innovative contract structures and trading products.
Identify opportunities and support entry into new European markets.
Integrate asset-backed contracts into operational trading systems and workflows.
About You
You’re a proactive and strategic thinker with a strong understanding of the European energy landscape. You excel at building relationships across the asset value chain and are passionate about advancing the energy transition through commercially viable solutions.
Key Qualifications:
Strong understanding of end-to-end trading and asset portfolio management processes.
Advanced data analysis and interpretation skills.
Master’s degree in economics, finance, engineering, physics, or a related discipline.
Proven experience in power trading, renewable asset management, or portfolio optimization.
Expertise in pricing renewable energy contracts and portfolios.
Programming experience in VBA, Python, R, or similar languages is a plus.