A Disciplined Investment Manager Built on Responsible Capital Stewardship
2Bn+
Assets Under Management (AUM)
Who We Are
Bacena is an alternative investment platform focused on a diversified range of private market strategies, including private credit, private equity and venture capital. Guided by an owner-operator mindset, we deploy flexible and scalable capital with a disciplined focus on structure, risk and capital preservation, investing across global markets.
Built for a disciplined and adaptive approach
At Bacena, we believe how you invest matters as much as what you invest in.
Our platform is built around disciplined judgement, thoughtful risk assessment and a deep respect for the responsibility that comes with stewarding capital on behalf of others. We operate with the conviction that long-term outcomes are shaped not by speed or scale, but by clarity of structure, consistency of process and restraint through market cycles.
We bring together diverse perspectives, experience, and independent thinking within a culture that values ownership and accountability. This approach informs how we assess opportunities, allocate capital, and manage investments across changing market conditions.
We believe that disciplined thinking enables resilient outcomes. And that a measured, responsible approach to investing creates the foundation for enduring value over time.
40+ Years of Experience
Group-level experience across real assets and private credit
Our Role
Bacena operates as an investment platform within private markets, connecting investors with curated opportunities across a range of alternative asset classes.
Our role is to source, evaluate and structure investments with discipline, ensuring that capital is deployed with clarity, purpose and accountability. We work closely with our partners and stakeholders to manage capital responsibly, balancing risk and return while maintaining a long-term perspective.
Through this role, we aim to deliver sustainable outcomes and create enduring value for investors
Our Values
Risk management is central to every investment decision we make. We prioritise:
Integrity
We act with integrity through transparent decision-making and accountable stewardship of investor capital.
Responsibility
We take our responsibility seriously in how capital is allocated, managed and protected on behalf of our investors.
Discipline
We apply a disciplined and consistent approach to investment decisions, grounded in structure, process and risk awareness.
Selectivity
We deploy capital selectively, focusing on opportunities aligned with long-term objectives rather than short-term outcomes.
Our People
At Bacena, our people are central to how we steward investor capital and deliver long-term investment outcomes.
We foster a culture of ownership and accountability, where individuals are expected to think and act with the discipline and judgement of long-term capital owners. Our team brings together people from diverse backgrounds and experiences, which we believe strengthens judgement, challenges assumptions and supports more balanced investment decision-making. This mindset shapes how we assess risk, allocate capital and manage investments on behalf of our investors.
We value clear decision-making, open dialogue and responsibility at every stage of the investment process. By encouraging ownership of outcomes, diversity of thought and strong alignment with investor interests, we aim to build a culture defined by consistency, integrity and resilience across market cycles.
ESG Approach
At Bacena, we recognise that long-term investment outcomes are supported by a considered assessment of environmental, social and governance factors alongside financial analysis.
Our approach to ESG is grounded in risk awareness, sound judgement and responsible capital stewardship. Where relevant, ESG considerations are incorporated into our investment assessment and ongoing monitoring processes, with a focus on identifying material risks that may impact asset quality, capital preservation and long-term performance.
We view ESG as an integrated component of disciplined investment decision-making rather than a standalone objective, supporting prudent risk management and the resilience of our portfolios across market cycles.
Careers
Careers at Bacena are built on trust, responsibility
and enduring judgement.
We believe the best investment outcomes come from people who are given the space to think, the responsibility to decide and the support to grow. At Bacena, individuals are encouraged to take ownership of their work and contribute their perspective, regardless of role or title.
Our team reflects a diversity of backgrounds and experiences, united by a shared commitment to thoughtful decision-making, open dialogue and acting in the best interests of our investors.
We are looking for people who value substance over noise, judgement over speed, and who see investing as a long-term craft rather than a short-term pursuit.
Current Open Positions (03)
Accountant
We are seeking a detail-oriented and analytical Accountant to manage financial records, prepare reports, and ensure compliance with accounting standards and regulatory requirements. The successful candidate will support the financial operations of the business by maintaining accurate financial data, assisting with budgeting and forecasting, and providing insights to support strategic decision-making.
Fund Manager
An experienced and commercially driven Fund Manager is required to oversee the management, performance, and strategic direction of investment funds across a range of alternative asset classes. This role is responsible for evaluating investment opportunities, managing portfolio performance, maintaining investor relationships, and ensuring compliance with regulatory and governance requirements. The ideal candidate will demonstrate strong analytical capability, investment discipline, and the ability to balance risk and return while delivering long-term value for investors.
Credit Analyst
An analytical and detail-oriented Credit Analyst is required to assess the financial strength, risk profile, and creditworthiness of borrowers, investment opportunities, and counterparties. This role plays a key part in supporting lending and investment decisions through detailed financial analysis, risk assessment, and ongoing portfolio monitoring. The ideal candidate will possess strong commercial acumen, financial modelling capability, and the ability to evaluate complex financial information while balancing risk and return objectives.
Meet us now
For more information, please leave your details and our investment team will be in touch with you soon.

