Director, Portfolio Management

Posted 24 Days Ago
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Singapore, SGP
In-Office
Expert/Leader
Energy • Renewable Energy
The Role
The Director, Portfolio Management oversees the performance of Keppel Infrastructure Trust's portfolio, focusing on strategy, capital allocation, and stakeholder engagement to enhance long-term returns.
Summary Generated by Built In
JOB DESCRIPTION

Job Purpose

The Director, Portfolio Management is responsible for overseeing, optimising and driving the performance of Keppel Infrastructure Trust (KIT)’s portfolio. Working closely with the CEO of KIT, provides strategic leadership across portfolio management, capital allocation, asset optimisation, acquisitions/divestments and investor engagement, with full accountability for delivering superior long‑term, risk‑adjusted returns.

Key Responsibilities

Portfolio Oversight & Performance Management

  • Lead the end‑to‑end monitoring and evaluation of KIT’s portfolio, ensuring performance, risk and return objectives are met.

  • Provide strategic oversight on operational, financial and ESG performance of portfolio companies.

Strategy & Capital Allocation

  • Partner with the CEO to define and refine KIT’s portfolio strategy, capital allocation framework and long‑term investment direction.

  • Evaluate portfolio construction and diversification, considering macroeconomic trends, sector outlooks and risk-return trade‑offs.

  • Make recommendations on capital deployment, rebalancing and portfolio optimisation.

Shareholder & Board-Level Engagement

  • Act as a key shareholder representative to portfolio companies, including engagement with boards and senior management teams.

  • Lead shareholder decision-making processes, including approvals, strategic actions and governance matters.

  • Provide clear strategic guidance to portfolio companies on long‑term plans, capital structure and growth initiatives.

Transactions & Capital Markets

  • Lead and oversee acquisitions, divestments and asset recycling initiatives, including investment thesis development and decision-making.

  • Oversee hold‑vs‑sell analysis and exit planning to optimise portfolio returns.

  • Play a key role in capital raising exercises, including structuring considerations, investor messaging and engagement with advisors.

Investor Relations & Stakeholder Management

  • Support investor relations activities by engaging with unitholders, potential investors and analysts on KIT’s mandate, strategy, performance and outlook.

  • Represent KIT in high‑level discussions with internal stakeholders, regulators, partners and external advisors.

JOB REQUIREMENTS

Requirements

  • Degree in Business, Finance, Economics or related disciplines; postgraduate qualifications are advantageous.

  • At least 15 years of relevant experience in infrastructure or private equity investments, investment banking, asset management or strategy consulting, with significant leadership exposure.

  • Proven track record in portfolio management, capital allocation and value creation across infrastructure assets.

  • Strong strategic thinking, commercial judgment and decision‑making capabilities.

  • Excellent stakeholder management and communication skills, including board and investor‑level engagement.

  • Strong leadership presence with the ability to influence, mentor and drive outcomes in a complex environment.

BUSINESS SEGMENT

InfrastructurePLATFORMFund Management
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The Company
1,498 Employees

What We Do

Keppel is a global asset manager and operator with strong expertise in sustainability-related solutions spanning the areas of infrastructure, real estate and connectivity. Headquartered in Singapore, Keppel operates in more than 20 countries worldwide, providing critical infrastructure and services for renewables, clean energy, decarbonisation, sustainable urban renewal and digital connectivity. Keppel creates value for investors and stakeholders through its quality investment platforms and diverse asset portfolios, including private funds and listed real estate and business trusts, and has a total portfolio with more than S$65 billion of assets under management.

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