Pattern Energy Group Inc.

Senior Manager, Investment & Risk Management

Pattern Energy Group Inc.$128K — $173K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Finance, Mathematics, Engineering, Economics or related area; MBA preferred.
  • 8+ years of relevant experience in renewable energy or finance.
  • Proficient in analytical and financial modeling skills, with emphasis on risk management.
  • Experience in cross-functional collaboration with internal and external stakeholders.
  • Strong background in project development and operational ownership in renewables.

Responsibilities

  • Design and maintain investment and risk management processes and tools.
  • Assess and communicate risk-adjusted returns and exposures across assets.
  • Identify and monitor enterprise-level risks influencing investment decisions.
  • Lead improvements in capital allocation processes and strategies.
  • Drive adoption of enhanced investment processes and systems development.

Benefits

  • Comprehensive medical, dental, and vision insurance.
  • Short and long-term disability coverage and life insurance.
  • 401(k) retirement savings plan with employer contributions.
  • Employee assistance program and family care benefits.
  • Generous paid time off and bonding leave, plus paid holidays.
Full Job Description
Overview

Responsibilities

JOB PURPOSE

The Senior Manager, Investment and Risk Management plays a pivotal role in strengthening the company's investment and risk management infrastructure. The Senior Manager will design, enhance, and maintain the processes, tools, and analytical frameworks that support capital allocation, portfolio optimization, and enterprise risk governance.

The role works cross-functionally to ensure investment decisions are rigorous, transparent, and aligned with long-term business objectives. Additionally, the Senior Manager will help advance the Company's Enterprise Risk Management (ERM) framework by integrating enterprise-level risk insights into investment evaluation, portfolio strategy, and governance processes.

The position will report to an AVP-level leader in the investment and risk management organization.

Key Accountabilities

Investment & Risk Evaluation
  • Assess risk-adjusted returns, key assumptions, and downside exposures across development, acquisition, financing, and operating assets.
  • Prepare and review materials for investment committees and governance forums, ensuring clarity and consistency in risk-return communication.
  • Analyze portfolio-level risks including concentration, diversification, scenario outcomes, and correlations across technologies, geographies, markets, and counterparties.

Enterprise Risk Management
  • Identify, assess, and monitor enterprise-level risks related to investments, market dynamics, counterparties, capital structure, and liquidity.
  • Maintain enterprise risk registers, key risk indicators, scenario analyses, and reporting for senior leadership.
  • Support continuous improvement of ERM processes, tools, and analytics as the company scales.

Cross-Functional Collaboration
  • Partner with Finance, Commercial, Legal, Tax, Insurance, Treasury, Asset Management, and other teams to ensure consistent risk evaluation and governance throughout the asset lifecycle.
  • Collaborate with subject matter experts to quantify risks for investment decisions and integrate the Project Risk Committee (PRC) into the capital approval process.

Capital Allocation & Portfolio Strategy
  • Lead ongoing enhancement of the Capital Allocation Request (CAR) process and materials in partnership with Business Development and other teams.
  • Support milestone capital allocation for development projects.
  • Contribute to long-term portfolio strategy, including construction, optimization, and performance evaluation.
  • Develop and implement a historical investment review process to identify opportunities to enhance value across operating assets and future development projects.

Process Improvement & Systems Development
  • Drive adoption of improved investment processes, tools, and automation initiatives.
  • Support updates to underwriting standards, model templates, and analytics for new business lines.
  • Partner with the Salesforce team to implement system enhancements for Investment and Risk functions.

Transactional Finance
  • Lead and support transactional finance activities across development, acquisition, financing, refinancing, and divestment transactions.
  • Evaluate transaction structures, financial terms, risk allocation, and value drivers throughout the transaction lifecycle.
  • Contribute to financial due diligence and assess alternative structures with a focus on risk-adjusted value and alignment with the company's risk appetite.


Qualifications

Experience/Qualifications/Education Required

  • Bachelor's degree in Finance, Mathematics, Engineering, Economics or related area; MBA a plus
  • 8+ years of relevant direct experience
    • Experience in renewable energy or power project finance, tax equity, private equity, corporate M&A, consulting, power or renewable project development or investment banking, coupled with the practical requirements of moving projects through the development lifecycle, through the transaction execution stages to closing and beyond.
  • Ability to work in a results-oriented, project-driven, real-time team environment. Ability to prioritize multiple projects and deliver quality results within tight time constraints
  • Strong analytical, financial modeling, and process implementation skills required, including ability to recognize primary value and risk drivers within projects and transactions, and familiarity with commercial and financial arrangements that maximize value to the company while ensuring appropriate risk exposure.
  • Well versed in renewables project development and operational project ownership. Experience identifying and implementing process improvements that support investment decision making and risk management within the renewables industry.
  • Strong ability to collaborate cross-functionally and with both internal and external stakeholder management
  • Proficiency in optimizing team operations and function within a broader organization
  • Highly motivated team player driven to achieve excellence

The expected starting pay range for this role is $128,000 - $173,000 USD. This range is an estimate and base pay may be above or below the ranges based on several factors including but not limited to location, work experience, certifications, and education. In addition to base pay, Pattern's compensation program includes a bonus structure for full-time employees of all levels. We also provide a comprehensive benefits package which includes medical, dental, vision, short and long-term disability, life insurance, voluntary benefits, family care benefits, employee assistance program, paid time off and bonding leave, paid holidays, 401(k)/RRSP retirement savings plan with employer contribution, and employee referral bonuses.

#LI-Hybrid
#LI-JH1

About Pattern Energy Group Inc.

Pattern Energy Group Inc. is a renewable energy company that owns and operates wind and solar power facilities. The company was founded in 2009 and is headquartered in Vancouver, Canada. Pattern Energy has a portfolio of 28 renewable energy facilities with a total capacity of 4.4 GW, located in the United States, Canada, and Japan. The company's mission is to transition the world to renewable energy by developing, constructing, and operating wind and solar power facilities that provide clean energy to communities around the world.
Learn more about Pattern Energy Group Inc.
Size
228 employees
Industry
Founded
2012
NASDAQ

Similar Jobs

More Jobs at Pattern Energy Group Inc.

More Finance & Insurance Jobs

Find similar Senior Manager, Investment & Risk Management jobs: