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Allianz Global Investors

Allianz Global Investors

www.allianzgi.com

1 Job

2,945 Employees

About the Company

At Allianz Global Investors, we are at the forefront of investing because we are always looking for new ways to create value for our clients. Drawing on our breadth of capability as an active asset manager, we build tailored investment solutions for distribution partners that support investors’ goals and ambitions.

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Listed Jobs

Company background Company brand
Company Name
Allianz Global Investors
Job Title
Portfolio Analyst - Development Finance & Impact Credit
Job Description
**Job Title** Portfolio Analyst – Development Finance & Impact Credit **Role Summary** Support structuring, credit analysis, documentation and execution of debt investments for emerging markets and Europe-focused strategies. Provide financial modelling, due diligence assessment, investment memo preparation, and investor reporting. **Expectations** - 2‑3 years of relevant experience in development finance, private equity/credit, M&A, structured finance or debt advisory. - Demonstrated ability to perform detailed financial and credit analysis and create financial models. - Passion for emerging private‑market investments and sustainability/impact investing. - Proactive, detail‑oriented, multitasking in a fast‑paced environment. **Key Responsibilities** - Originate opportunities and build partner relationships. - Conduct benchmark pricing and preliminary credit analysis against investment guidelines. - Build and stress‑test financial models; challenge key assumptions. - Review due diligence materials, conduct independent research, and identify comparables. - Draft investment memos for Investment Committee presentation. - Coordinate with Operations, Risk, Legal, Accounting to execute transactions. - Assist in investor reporting and communication materials (fundraising, reporting). - Update investment proposals or presentations for upsizing mandates. - Liaise with internal teams (Risk, Compliance, Products, etc.). **Required Skills** - Advanced financial modelling and credit risk analysis. - Strong analytical and written communication skills. - Proficiency in Microsoft Office (Excel, PowerPoint, Word) and CoPilot; Bloomberg experience preferred. - Ability to work independently and collaboratively across functions. **Required Education & Certifications** - Bachelor’s degree in Finance, Economics, Accounting or related field. - Solid academic record; relevant professional certifications (e.g., CFA, MS, PRM) are a plus.
London, United kingdom
Hybrid
26-02-2026