Portfolio Manager
Job description
TGRC has partnered with a fast-scaling, fund-backed energy platform focused on decentralising and decarbonising power. Their model enables peer-to-peer renewable trading, connecting distributed generators with C&I customers through transparent, traceable contracts.
As Portfolio Manager (Origination & Trading), you will help build a leading market integrator by matching generation with demand through innovative PPA structures.
You will lead portfolio strategy across pricing, hedging, and risk, working closely with origination, tech, and analytics teams to structure new products and manage market exposure.
Responsibilities:
Build and manage a UK power market portfolio derived from distributed and peer-to-peer PPA structures
Work closely with originators to support deal origination, structuring, and pricing of bespoke renewable energy contracts
Develop quantitative and fundamental views of UK p2p markets, including risks associated with intermittency, shaping, and imbalance
Optimise portfolio value across short-, mid-, and long-term markets through bilateral trading, exchange activity, and innovative structuring solutions
Identify cross-commodity opportunities and risks across energy, flexibility, and non-commodity charge structures enabled by the platform
Enhance and develop modelling tools to support portfolio optimisation, pricing, and risk management in a half-hourly settlement environment
Collaborate with technology teams to help design and scale platform infrastructure, systems, and automated trading capabilities
Build strong relationships with counterparties including utilities, corporates, financial institutions, and independent power producers
Translate market developments, regulatory changes, and customer needs into actionable trading strategies and product innovation
Support the development of scalable systems, processes, and tools to enable rapid business growth
Oversee day-to-day portfolio management activities, reporting, and operational processes