Company
Aquilacapital
Location
Hamburg, Germany
Employment type
Full-time
Seniority
Junior
Primary category
Investment Management
Posted date
13 Mar 2026
Valid through
12 May 2026
Aquila Capital offers compelling investment opportunities that drive global decarbonisation. Specialising in clean energy, green infrastructure and sustainable real estate, we are providing tailored fund vehicles and investment solutions with a focus on sustainability and aim to become one of the leading asset managers for sustainable investment strategies in Europe with a global reach.
For our office in Hamburg we are searching for an
Investment Analyst (m/f/d)
The Role
As an Analyst, you will contribute to originating, executing, and managing investments in Europe across all of Aquila Capital`s investment strategies. Also, you will be contributing to ongoing fundraising activities to expand the Aquila Capital platform. You will be based in Hamburg or Madrid and an integral part of Aquila Capital´s Investment Management team
Your responsibilities
Conduct market and industry research to assess and benchmark potential investment opportunities and continuously monitor broader market trends
Analyse financial statements, valuation models and other investment metrics to evaluate and structure potential investments
Build, evaluate and stress test financial models
Prepare investment memoranda and presentation materials to support investment recommendations
Support the investment due diligence process, including the identification and mitigation of key risks
Actively work with internal and external departments to ensure successful due diligence & investment execution
Effectively work with external counterparties to evaluate, structure, and finance both existing and new investments
Monitor portfolio investments and assist with the periodic valuation process
Support fund raising efforts and investor relations activities
Provide ad-hoc analytical support to senior members of the team
Your qualifications
University degree in finance, economics, business or a related field or MBA. Additional qualifications (CFA, CA) highly appreciated
In-depth knowledge of best practices in financial modelling and continuous readiness for further training in this area
1-4 years of professional experience in a private equity or M&A environment
Strong understanding of finance and investment principles, including financial modelling and valuation techniques
Committed interest in the energy transition and / or infrastructure core+ experience will be considered favourably
High attention to detail, strong analytical and interpersonal skills
Self-starter with an ability to work independently and as part of a team
Ability to manage multiple priorities and meet deadlines
Strong knowledge of Microsoft Office, especially Excel and PowerPoint
Fluent in English (written and verbal). Other foreign languages are an advantage
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