Key Roles/Responsibilities :
- Evaluate investments made across the capital structure in real estate sector and compute risk adjusted returns that is comparable across various investments
- Liaison with business group on deal related issues
- Periodic monitoring of performance of existing and future investment
- Maintain and enhance existing capital allocation model
- Work with rest of team, to design scenarios and analyze portfolio level risks across multiple investment books
- Assist in making Risk presentations to Board sub-committees
Essential Skills and experience : 2-4 years work experience in Rating agency, Bank's Credit Risk Management/ Real Estate Financing Groups
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