Posted by
Posted in
Banking & Finance
Job Code
1731897

Role Purpose:
To manage and grow relationships with stock brokers, trading members, market intermediaries and other capital market clients, while driving revenue, asset growth and quality credit exposure across fund-based and non-fund-based facilities.
Key Responsibilities:
- Manage and deepen relationships with capital market clients, particularly stock brokers, trading members and financial market intermediaries.
- Drive business development across Fund-Based (FB) and Non-Fund-Based (NFB) credit facilities, including:
1. Working Capital / Overdraft facilities
2. Bank Guarantees
3. Letter of Credit and other structured facilities
4. Other capital-market-specific funding requirements
- Prepare and coordinate Credit Appraisal Memorandum (CAM) for new and existing capital market clients, including facility structuring, assessment of risks, proposed limits and mitigants.
- Conduct detailed balance-sheet and financial analysis of brokers, including profitability, net worth, leverage, liquidity, capital adequacy, borrowing profile, contingent liabilities and quality of assets.
- Evaluate the client's business model, trading volumes, market position, exchange exposure and regulatory framework to assess creditworthiness.
- Coordinate with Credit, Risk, Legal, Operations and Product teams for timely sanction and implementation of facilities.
- Monitor utilisation of sanctioned limits, financial covenants, collateral/security and overall account conduct.
- Identify cross-sell opportunities across transaction banking, cash management, custody, capital market products and other banking solutions.
- Keep abreast of latest SEBI, RBI, NSE, BSE, clearing corporation and other regulatory circulars/guidelines impacting brokers and capital market clients.
- Assess the impact of regulatory changes on existing and proposed credit facilities and proactively communicate the same internally and to clients.
- Track industry trends, competitive developments and changes in the capital market ecosystem.
- Ensure timely completion of annual reviews, renewals, ratings, documentation and compliance requirements.
- Maintain high standards of portfolio quality and ensure early identification and mitigation of potential credit risks.
- Achieve assigned business, revenue, profitability and portfolio growth targets.
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Posted by
Posted in
Banking & Finance
Job Code
1731897