Description de l’entreprise
Structure entrepreneuriale, Mirova est une société de gestion de conviction, dédiée à l’investissement à impact qui développe pour ses clients particuliers et institutionnels, des solutions d’investissement performantes permettant d’accélérer la transformation de notre économie vers un modèle durable. Déjà pionnier dans l’investissement durable, Mirova a fait le choix de devenir en 2020 une entreprise à mission et a obtenu le label B Corp.
Mirova est une société de gestion affiliée de Natixis Investment Managers. Elle développe une approche globale de l’investissement responsable en proposant des solutions sur différentes classes d’actifs : actions, taux, diversifiés, infrastructures et énergies renouvelables, capital naturel, private equity, solidaire.
Avec 32 Md€ d’actifs sous gestion à fin 2024, Mirova s’appuie sur plus de 240 collaborateurs à Paris, Londres, Singapour et Boston, avec des perspectives de croissance solides en Europe, Asie comme aux Etats-Unis.
Poste et missions
Candidates with experience across both credit and equity investing, including mezzanine debt, preferred equity, growth capital and climate-focused private investments, and prior experience in closing transactions in Asia will be particularly well suited to this role.
Key Responsibilities
Origination and Business Development
Source and assess investment opportunities across emerging and developing Asian markets.
Develop long-term relationships with energy transition companies, project developers, sponsors, financial institutions, DFIs, advisers and investment partners.
Identify financing needs that can be addressed through flexible capital solutions, including mezzanine debt, subordinated debt, preferred equity, convertible instruments and structured credit.
Contribute to sector strategies and investment themes and strengthen Mirova’s presence within the regional energy transition ecosystem.
Investment Analysis and Execution
Lead transactions throughout the investment cycle, from initial screening and structuring through due diligence, negotiation, approval and closing.
Undertake detailed credit, financial and valuation analysis, including downside scenarios, debt-service capacity, covenant headroom, recovery analysis and exit pathways.
Build and review financial models for companies, platforms and projects with complex capital structures.
Structure and negotiate investments across senior and subordinated debt, mezzanine, preferred equity, convertible and other equity-like instruments.
Coordinate commercial, legal, tax, technical, ESG and impact due diligence, working effectively with internal specialists and external advisers.
Prepare clear, decision-oriented investment committee materials and present investment recommendations.
Portfolio Management
Monitor financial performance, liquidity, covenant compliance, impact delivery and key portfolio risks.
Engage actively with management teams and sponsors on strategy, financing needs and value creation priorities.
Participate in portfolio governance and represent Mirova in board or observer roles where appropriate.
Manage follow-on investments, amendments, restructurings, refinancings and exits as required.
Impact, Fundraising and Platform Development
Integrate ESG and impact considerations throughout the investment lifecycle in collaboration with Mirova’s sustainability specialists.
Contribute to impact measurement, monitoring and investor reporting.
Support fundraising, investor due diligence and engagement with institutional investors, DFIs, foundations and catalytic capital providers.
Contribute to the continuous improvement of investment processes and mentor junior team members.
Candidate Profile
Experience
8–12 years of relevant experience in private credit, mezzanine finance, infrastructure debt, structured finance, project finance, development finance, private equity or impact investing.
Demonstrated experience originating, structuring and executing complex financing transactions in Asia, ideally across Southeast Asia, India and/or other emerging Asian markets. Established existing relationships and networks across Asia, and in particularly India, will be strongly preferred.
Strong experience in mezzanine debt, subordinated debt, preferred equity, structured credit or other hybrid capital solutions.
Experience in renewable energy, energy transition, climate infrastructure or sustainable investing is strongly preferred.
Experience working with DFIs, blended finance structures and emerging-market counterparties is an advantage.
Technical and Professional Skills
Advanced financial modelling, credit analysis and valuation skills.
Strong understanding of capital structures, security packages, covenants, intercreditor arrangements, risk allocation and downside protection.
Sound commercial judgment and the ability to balance investment returns, risk and measurable impact.
Ability to lead multiple workstreams and manage complex stakeholder groups through execution.
Excellent written and verbal communication skills in English; additional Asian language skills are an advantage.
Ability to work independently while collaborating effectively across a multicultural and geographically dispersed team.
Personal Attributes
Entrepreneurial, proactive and comfortable operating in a growing regional platform.
Rigorous and solutions-oriented, with a strong sense of accountability.
Collaborative, open-minded and effective across cultures.
Committed to Mirova’s mission of combining financial performance with positive environmental and social impact.
Education
Master’s degree or equivalent in finance, economics, engineering, business administration or a related discipline. Relevant professional qualifications are an advantage.
What We Offer
The opportunity to contribute directly to the energy transition in Asia and other emerging markets.
Exposure to differentiated private credit, mezzanine and hybrid capital investments through the METEA strategy and the Mirova Gigaton Fund.
Significant responsibility across origination, execution and portfolio management within an international investment platform.
A collaborative, purpose-driven environment with opportunities for professional growth and increasing responsibility.
Profil et compétences requises
Based in Singapore, the Investment Manager will contribute to the development of Mirova’s Emerging Markets Energy Transition activities, supporting both the METEA strategy and the Mirova Gigaton Fund. The role offers exposure to energy transition investments across Asia and other emerging markets, including renewable energy, distributed energy, energy efficiency, sustainable mobility and other climate solutions.
We are seeking an experienced investment professional with 8–12 years of relevant experience to support the origination, execution and portfolio management of investments. The successful candidate will bring strong credit and structuring capabilities, with experience across mezzanine debt, subordinated debt, preferred equity, structured credit and other hybrid capital solutions. Exposure to senior debt and growth equity investments is also valuable.
Candidates with experience across both credit and equity investing, including mezzanine debt, preferred equity, growth capital and