Vice President - Structured Finance - BFS (10-20 yrs)
a. Define the Strategy for Debt Investment Portfolio
b. Identify investment opportunities in areas of Lending to developers, NCDs and structured transactions .
c. Structuring and Arranging of Debt Funds across products & markets.
d. To evaluated deals for lending against risk and assess term .
e. Strong experience of evaluating risk against collaterals.
f. Formulate an Asset allocation mix based on market and business goals of Organization
g. Identify deals and Alternative proposals with high return and good safety margin
h. Optimization of returns by switching of portfolios as required / moving out of various financial instruments
viii) Proactive Reporting on anticipated market volatility/big changes and actions proposed in such situation
ix) Leverage on interest rates
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