Grégory Cahuzac
Investment Risk Manager, Alternative Investments (Real Estate & Infrastructure Debt) @MEAG
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WORK HISTORY
Investment Risk Manager, Alternative Investments (Real Estate & Infrastructure Debt) @MEAG
Munich, DE
Co-lead investment due diligence on private credit transactions (real estate mortgage loans & infrastructure project finance), contributing to €2bn+ in capital deployed through Munich Re Group\'s investment credit committee.• Deliver independent investment opinions encompassing cash flow modeling, counterparty and transaction rating review, and pricing adequacy assessment — serving as a key input to the final investment decision.• Own quarterly and annual portfolio reporting for 14 infrastructure project loans, including performance monitoring, covenant tracking, and ad hoc credit reviews.
EDUCATION
Southern Illinois University, Carbondale
Summer School (6 weeks), Managerial Accounting, Brand Management, Advanced Communication
Frankfurt School of Finance & Management
Qualifizierungsmaßnahme Immobiliengutachter CIS HypZert F
NYU Stern School of Business
Standard & Poor's Credit Ratings Analyst Certification, Corporate Ratings
Grenoble Ecole de Management
Master of Science (MSc), Business Administration and Management, General
Lycée Aux Lazaristes
Baccalauréat Scientifique, Mention Bien (magna cum laude)
Lycée Sainte-Geneviève
Preparatory School for Business Schools Examination
EBS Universität für Wirtschaft und Recht
Master of Science (MSc), Finance, General
SKILLS
ABOUT GRÉGORY CAHUZAC
Investment professional with 15+ years of experience in private credit and real asset finance across real estate, infrastructure, shipping, and transport — with a track record spanning origination, structuring, due diligence, and portfolio monitoring.At MEAG (Munich Re Group), I contribute to investment decisions on mortgage and project finance loans, supporting €2bn+ in approved transactions through independent credit assessment, cash flow modeling, and pricing analysis. I own the full analytical process — from initial screening to credit committee presentation — and manage a portfolio of 14 infrastructure loans.My earlier experience at Natixis (Portfolio Manager, €2bn+ European real estate loan portfolio, 70+ transactions) and DVB Bank (now part of Helaba) gave me hands-on exposure to deal execution, structuring, and risk surveillance across multiple asset classes.A formative stint at S&P Global Ratings as Corporate Ratings Analyst (Transportation & Infrastructure EMEA) sharpened my ability to challenge business plans, benchmark issuers, and produce forward-looking independent opinions — skills I apply daily on the investment side.Sector depth: Real Estate (residential, office, retail, mixed-use)| Infrastructure (airports, toll roads, ports)| Shipping (container, dry bulk, tanker)| Rolling Stock & Rail InfrastructureLanguages: French (native) • English • German • SpanishBased in Munich | Open to Investment Manager opportunities in private credit, infrastructure debt, or real asset fund management.
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