Industry : Oil and Gas / Power / Infrastructure / Energy
Category : Finance
Job Type : Permanent
Job Description :
- Responsible for all Corporate Finance & Treasury related activities of the Corporate Businesses
- Managing the relationship with all banking and external stakeholders (rating agencies, FI's, etc.) at the national / India level
- Guide the Business Units to decide towards the most feasible bank proposal
- Have a very strong network with the banks to secure the loans in case the business units are not able to raise the funds
- Manage / supervise the sourcing of debt / funding for the projects and its related activities including refinancing activities from banking markets and debt capital markets
- Lead & manage all the equity related transactions (new issuance / IPO)
- Review Capital Structure, Cost of Debt / Cost of funding, Dividend policy and related activities
- Liaison with Regulators, wealth managers and legal partners
- Produced detailed annual action plans on specific areas of responsibility outlined above, identifying areas for growth and development and outlining measurable objectives
- Objectively review the success and achievements against agreed targets, identifying strengths, weaknesses and areas for development
- S/he must be very strong on his/her knowledge of compliances related to corporate finance and equity / debt related compliances and related activities.
- You should have a strong track record of having worked on capital structuring and restructuring right from scratch.
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