Analyze financial models and finalize financing agreements and fund raising activities for Gas Liquid SBU in order to meet timely requirement of debt funds and working capital for Gas Liquid SBU.
ORGANISATION CHART
KEY ACCOUNTABILITIES
Accountabilities
Key Performance Indicators
Reviewing Analyzing Financial models to project future cash flows to support decision-making for bids by management and rising of funds/facilities for projects.
Accuracy
Finalization of financing agreements, security creation, appointment of various stakeholders (viz. Lenders Legal Counsel, Lenders Insurance Advisor, etc.) in order to attain Financial Closure for current projects.
Timely
Preparation of Project Information Memorandum in order to raise funds among various prospective lenders.
Timely Accuracy
Relationship management with lenders to ensure regular updation of events/progress of projects and timely disbursements.
Timely
Liaisoning between lenders SPVs for obtaining NOCs/Approvals as required on need-based basis.
Timely
Liaise with banks and financial institutions for raising fund and non fund based finance to meet working capitalrequirements, at best possible costs
Working Capital Availability
KEY ACCOUNTABILITIES - Additional Details
EXTERNAL INTERACTIONS
External - Roles you need to interact with outside the organization to enable success in your day to day work
Lenders Underwriters:
- For tying up of funds for new as well as existing projects. For meeting timely requirement of funds for its smooth functioning.
- For timely disbursements for existing projects.
Lenders Legal Counsel: For finalization and execution of financing agreements in order to achieve Financial Closure and subsequent fund requirements in the projects.
Lenders Insurance Advisor: To secure the project from any natural unforeseen future event that is out of the control of Project Developer.
Rating Agencies/Consultants: To provide the relevant information/data in order to obtain
📌 Manager - CIG (Hyderabad)
🏢 GMR Power Urban Infra
📍 Hyderabad
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