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Senior Associate/VP, Asset Management

Job description

​TGRC is excited to partner with a global infrastructure investment fund, based in Singapore, with over USD$50 billion in assets under management, in search of a Senior Associate/Vice President to join their rapidly expanding Asset Management team. Collectively, the team manages circa USD$15 billion in assets under management across Asia Pacific.

The role will be responsible for overseeing and optimising the operational and financial performance of the infrastructure asset portfolio across Asia Pacific and ensure that the assets meet strategic, financial, and ESG goals whilst working in tandem with the portfolio company management and investment stakeholders to help execute value-creation initiatives post-acquisition.

Responsibilities

Portfolio Performance & Monitoring:

  • Monitor operational and financial KPIs of portfolio companies (revenues, cash flow, EBITDA, capex, refinancing needs, maintenance, ESG/ESG-compliance, etc.).

  • Maintain and update asset-level and portfolio-level financial models, forecasts, and performance dashboards.

  • Conduct regular portfolio reviews, stress tests, valuations and performance analyses to assess risk & return.

Value Creation & Strategic Oversight:

  • Work with portfolio company management & the fund's Operating/Investment teams to define and execute operational improvement plans, cost optimization, capital expenditure plans, refinancing and growth initiatives.

  • Lead or coordinate initiatives around capital structure optimization, refinancing, financial restructuring, or additional capital injections as needed.

  • Support M&A, divestitures, or bolt-on acquisition processes for portfolio companies (pre-emptive strategic reviews, due diligence, integration/exit planning).

Governance, Compliance & Board-Level Engagement

  • Represent the fund on the Board or Board Committees of portfolio companies (or support those who do) to ensure alignment between company management and the fund's objectives.

  • Ensure compliance with relevant regulations, reporting standards, and ESG/governance frameworks across the portfolio.

Stakeholder & Investor Reporting

  • Prepare regular (quarterly, semi-annual, annual) reports on asset performance, investment outcomes, value-creation progress, risk factors, ESG metrics, and portfolio returns.

  • Liaise with investment, legal, finance, risk & operations teams (internal), and external advisors, lenders, co-investors, and auditors as necessary

Expectations
  • Bachelor’s degree in Finance, Economics, Accounting, Engineering, Business or related discipline. MBA, CFA, or equivalent advanced qualification preferred.

  • 8–10+ years of relevant experience in private equity, infrastructure investments, project finance, asset management, investment banking or corporate finance.

  • Strong financial modeling, valuation, and performance-analysis skills, financial analysis tools and familiarity with project finance and infrastructure asset cash flows.

  • Proven track record in managing or overseeing infrastructure or real assets (energy, utilities, telecom, transport, digital and social infrastructure, etc.), including operational or value-creation initiatives.

  • Comfortable dealing with portfolio company management, board-level interactions, and steering complex operational or financial restructuring initiatives.

  • Strong strategic thinking, risk awareness, communication and stakeholder management skills; ability to work in multi-disciplinary, multicultural global teams.

  • Willingness to travel across Asia as needed, at least 20-30% of the time.