
Portfolio Manager - Energy Transition
4w4 weeks agoOctopus Energy
London, GB · Full-time · £110,000 – £160,000
About this role
Octopus Energy Generation is a leader in sourcing, investing in, and managing utility-scale renewable energy assets. We manage a global portfolio of over £7 billion and are dedicated to building a diverse team. We seek a Portfolio Manager for the Fund Management team, reporting to the Head of Funds and Sustainability.
This role leads fund management across energy transition strategies like Octopus Energy Transition Fund, a co-investment vehicle, Asia-focused fund, and growth equity strategy. Ensure strong governance, disciplined financial oversight, high-quality investor reporting, and robust portfolio analysis. Combine fund management discipline with commercial judgement and cross-functional leadership.
Lead all energy transition valuations, coordinating inputs across teams for robust, well-evidenced outputs suitable for scrutiny. Directly manage two team members, accountable for quality in valuations, reporting, governance, and analysis. Work closely with platform team, Singapore team, and Ventures team across investment types and jurisdictions.
Oversee asset and platform performance, fund models, investor returns, liquidity, distributions, and KPIs. Maintain understanding of fund-level and asset-level value drivers. Interrogate and explain performance to stakeholders and investors using platform and asset management data.
Suit someone comfortable with established and scaling strategies, private equity or infrastructure knowledge. Attention to detail meets pragmatic, collaborative approach. Help change the energy lifecycle, making every green electron matter toward net zero.
Requirements
- Strong fund management discipline
- Commercial judgement
- Effective cross-functional leadership
- Private equity and/or infrastructure knowledge
- Comfortable operating across established and scaling strategies
- Attention to detail with pragmatic and collaborative approach
- Experience leading valuations and investor reporting
- Knowledge of equity and debt-related fund management activities
Responsibilities
- Lead fund management activity across energy transition strategies including Octopus Energy Transition Fund, co-investment vehicle, Asia-focused fund, and growth equity strategy
- Ensure strong governance, disciplined financial oversight, high-quality investor reporting and robust portfolio analysis
- Lead all energy transition valuations, coordinating inputs across teams for robust outputs
- Directly manage two team members and ensure quality of valuations, reporting, governance materials, and fund-level analysis
- Oversee underlying asset and platform performance, fund models, investor returns, liquidity, distributions and KPIs
- Maintain clear understanding of interaction between fund-level and asset-level drivers of value
- Work closely with platform management, asset management, finance and investments teams for accurate reporting and forecasts
- Interrogate and explain fund performance clearly to internal stakeholders and investors
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