Nuveen is the investment management arm of TIAA. It is one of the largest global asset managers with specialist knowledge across a wide array of asset classes, including fixed income, equities and alternatives. Nuveen is driven not only by the independent investment processes across the firm, but also the insights, risk management, analytics and other tools and resources a truly world-class platform provides. As a global asset manager, our mission is to work in partnership with our clients to create outcome-focused solutions to help them secure their financial future.Overview of the Role: Clean Energy Infra manages funds that invest in renewable power generation assets in Europe, US and APAC. The funds are invested in a mix of capital appreciation and cash flow generative assets. Investments include assets in operation, construction and development in three main areas: wind, solar, and biomass. In 2019, leverage from the successes in the equity space, Clean Energy Infra launched a credit fund which sought to achieve stable, risk-adjusted returns through exposure to portfolios of renewable energy project finance debt. This represented an innovative new approach to green credit in the wider market in which Clean Energy Infra was among the first movers. Building off the success of the first fund, a second vintage is being launched in 2022 which will expand the asset class from renewable energy generation projects to energy transition assets.The Asset Controller for these Debt Strategies will be joining a high performing asset management team and work closely with the investment team to ensure asset portfolios are effectively managed. The successful candidate will be responsible for a broad range of activities, including proactive risk and financial management of the asset portfolios, coordination of external advisors, internal and external reporting and stakeholder management, transaction support to the investment team and development and refining governance to sit alongside the business function.Key Responsibilities:Monitoring risk of the portfolio over time including undertaking financial risk assessments, financial model updates and sensitivity analysis with re-forecasting as necessary.Oversight of regular reporting received from securitisation vehicles/servicers and performance assessment of the asset and underlying loan portfolios.Oversight and direction of legal counsel on ad-hoc project matters.#J-18808-Ljbffr