Posted By
Posted in
Banking & Finance
Job Code
1448461
Role and Responsibilities:
- Carry out detailed Credit Risk Analysis based on Analysis of financial statements, company and industry research & peer comparison.
- Adept at giving views on the creditworthiness of the existing issuers. (Corporates, Banks & Financial Institutions & NBFCs)
- Monitoring credit quality and limits of existing Issuers & structured debt papers.
- Provide meaningful inputs to the Fund management team & presenting Regular and insightful presentations for credit review and appraisal of new proposals.
- Managing documentation, carrying out data mining and analysis, communicating with issuers and rating agencies.
Skills & Competencies:
- Quick thinking and problem-solving skills.
- Able to work independently and as a team player.
- Ability to Interact with issuers and rating agencies diligently.
- Excellent communication skills and active listening skills.
- Subject matter expertise in fixed income credit analysis and excellent financial modelling skills.
- Analytical skills and process compliance.
Qualification & Experience:
- CA/ MBA from a Tier I institute with 1 - 4 Years of relevant work experience with a Mutual Fund, Credit Rating Agency or Corporate banking.
- CFA is an added advantage.
- Good knowledge of Debt Markets will be an added advantage.
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Posted By
Posted in
Banking & Finance
Job Code
1448461