Posted by
Posted in
Banking & Finance
Job Code
1703347

Role Overview:
We are looking for a credit risk professional with experience in evaluating and monitoring mid-to-large corporate credit exposures. The role involves pre-deal credit assessment, portfolio monitoring, risk analysis, MIS reporting, and supporting investment decision-making across Corporate, Real Estate, and Sponsor Finance transactions.
Key Responsibilities:
- Conduct detailed credit risk assessment, financial analysis, cash flow evaluation, and scenario modelling for new investment opportunities.
- Review due diligence reports, financial models, and credit memos; recommend risk mitigants, covenants, and deal conditions.
- Present risk recommendations and insights to the Investment Committee.
- Monitor portfolio performance, covenant compliance, repayment trends, and early warning signals.
- Perform annual reviews, portfolio analytics, and risk dashboard reporting.
- Prepare MIS reports and portfolio performance updates for senior management, investors, and audit requirements.
- Support policy development, process improvements, data governance, and risk-related projects.
Key Requirements:
- Strong credit risk experience covering domestic mid/large corporates.
- Sound understanding of financial modelling, credit analysis, and portfolio monitoring.
- Experience preparing MIS, portfolio dashboards, and management reporting.
- Advanced Excel and PowerPoint skills; exposure to dashboarding tools preferred.
- Strong communication, stakeholder management, and analytical skills.
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Posted by
Posted in
Banking & Finance
Job Code
1703347