An excellent opportunity to join a leading organisation as an Investment Manager, playing a key role in shaping investment decisions through best-in-class financial modelling. In this role, you will design, implement, and manage a robust, scalable financial modelling framework that underpins investment strategy, project delivery, funding structures, and long-term corporate planning. Key Responsibilities Lead the development, enhancement, and ongoing maintenance of complex financial models Establish and manage modelling standards, templates, and control frameworks Review and challenge bespoke models supporting business cases, delivery structures, and capital arrangements Ensure model integrity through structured review processes, documentation, and version control Partner with Investment, Finance, and Cost Management teams to validate assumptions and strengthen outputs Collaborate with senior stakeholders to produce high-quality financial outputs for internal approvals, investment committees, and funding submissions Key Requirements 5-7 years' experience in financial modelling, corporate finance, real estate, infrastructure, or development finance Proven track record of building and reviewing complex financial models from first principles Strong understanding of investment appraisals, funding structures, capital stacks, and cash flow modelling Experience implementing modelling standards, templates, and best practices Advanced scenario modelling and sensitivity analysis skills Ability to translate complex financial and commercial concepts into clear, decision-support tools Experience with Power BI or similar data visualisation tools is advantageous Skills: Investment Manager Investment Analyst M&A Corporate Finance