
51 - 200 employees
💸 Finance
🌍 Social Impact
Finance • Social Impact • Sustainability
Impact Investment Exchange (IIX) is a pioneering organization in impact investing and a global leader in sustainability. IIX aims to transform the financial system to empower women, protect the environment, and uplift underserved communities globally. By 2030, IIX plans to create one billion sustainable livelihoods through their initiatives. The company offers a wide spectrum of sustainable investing options, supports inclusive businesses, and provides advisory services. IIX is committed to gender equality and climate resilience, actively mobilizing capital to invest in gender-responsive enterprises and climate-resilient projects. Additionally, the organization supports educational and research initiatives to address knowledge gaps in sustainable investing. IIX also promotes global initiatives like the Orange Movement, aimed at empowering women and driving climate action across the world.
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51 - 200 employees
💸 Finance
🌍 Social Impact
Finance • Social Impact • Sustainability
Impact Investment Exchange (IIX) is a pioneering organization in impact investing and a global leader in sustainability. IIX aims to transform the financial system to empower women, protect the environment, and uplift underserved communities globally. By 2030, IIX plans to create one billion sustainable livelihoods through their initiatives. The company offers a wide spectrum of sustainable investing options, supports inclusive businesses, and provides advisory services. IIX is committed to gender equality and climate resilience, actively mobilizing capital to invest in gender-responsive enterprises and climate-resilient projects. Additionally, the organization supports educational and research initiatives to address knowledge gaps in sustainable investing. IIX also promotes global initiatives like the Orange Movement, aimed at empowering women and driving climate action across the world.
• Build and maintain the fund economics model — covering waterfall mechanics, IRR scenarios, LP return projections, and blended finance leverage analysis • Model capital call schedules, deployment timelines, and distribution mechanics across senior, mezzanine, and concessional tranches • Run sensitivity analysis across key assumptions including interest rates, deployment pace, default scenarios, and concessional capital pricing • Model impact-linked interest rate adjustment mechanics under various sustainability KPI achievement scenarios • Develop and maintain the warrant valuation model for first-close loan structures • Prepare first drafts and working versions of LPA schedules, investment policy statements, and fund fact sheets in coordination with external counsel • Compile and format LP-facing fund structure summaries, term sheet comparisons, and technical FAQ documents • Prepare Investment Committee presentation materials relating to fund structure and blended finance mechanics • Draft summaries of side letter terms and maintain a side letter obligation tracker • Build financial models of the credit guarantee facility, including first-loss sizing and trigger scenario analysis • Prepare comparative analysis of guarantee structures from comparable DFI-backed emerging market funds • Research and benchmark comparable blended finance funds — structure, fee models, DFI participation mechanics, and LP terms • Keep track of DFI guarantor requirements and term sheet feedback from anchor concessional investors
• 6-7 years of experience in investment banking, fund administration, development finance, structured finance, or a closely related field • Strong financial modelling skills — proficient in Excel; demonstrated ability to build fund-level waterfall and IRR models • Exposure to fund documentation (LPAs, subscription agreements, offering memoranda) in a professional context • Excellent written English and quantitative skills — able to produce clear, professional deliverables independently • Undergraduate degree in finance, economics, law, or a related discipline; postgraduate qualification or CFA progress is an advantage • Familiarity with Singapore VCC structures, closed-end fund mechanics, or DFI financing instruments is a plus • Prior experience in a fund formation, structured finance, or blended finance context is preferred • Exposure to impact investing, ESG frameworks, gender-lens investing, or sustainable finance instruments is an advantage
• Direct mentorship from senior blended finance and investment professionals across a high-exposure workstream • Rare opportunity to gain hands-on closed-end fund structuring experience in the emerging market impact investing space • High-trust, lean team environment — minimal bureaucracy, maximum ownership • A culture that takes PREM values seriously — you will be seen, heard, and valued
Apply Now🕒 March 11
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