Posted By
Posted in
Banking & Finance
Job Code
1618053

Key Responsibilities:
Evaluate investment proposals to highlight key risk areas in deals across diverse funds (Distress, special opportunity, real estate, and infrastructure). Responsibilities include:
i)Analysis of business risks (industry and company specific)
ii)Financial statement analysis to evaluate the credit worthiness of the company and highlight important financial strengths and weaknesses
iii)Industry analysis / Peer comparison
iv)Vetting assumptions in financial projections and perform sensitivity analysis of key assumptions
v)Highlight structural risks and recommend mitigating measures
vi)Review due diligence reports
- Risk monitoring (Monthly/Quarterly/Annual) for invested portfolio and promptly alert senior management to significant risk issues
- Timely capturing of the news alerts and feeds relevant to the investee companies and the underlying industries
- Evaluating due diligence, debenture trust deeds and other documents and communicating observations to investment team
- Assisting the risk team in establishing processes/policies/ frameworks and ensuring proper controls across business groups
- Fostering a partnership among the various business and support groups to create a compliant business environment and culture
Other Requirements:
- CA / MBA /CFA or equivalent from reputed institute
- Seeking a candidate with 8-12 years of experience in Credit Rating, Credit/Investment Risk underwriting across Wholesale Banking, NBFCs, ARCs, Private Credit Funds, AMCs, etc., with 3-4 years in distressed asset management.
- Expertise in Structured Finance, Private Equity, AIFs, FPIs, and Transaction Advisory is a plus.
- Strong finance, accounting, and risk assessment skills, along with knowledge of enforcement mechanisms and legal frameworks, are essential.
- Must have excellent analytical, communication, and presentation skills.
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Posted By
Posted in
Banking & Finance
Job Code
1618053