Job Description Key Responsibilities
n n Good knowledge of credit or equity risk fundamentals, solving for what creates risk for an obligor.
n Experience in writing reports crisply and analyzing Corporates or SMEs
n Experience in risk rating assessment of large and middle-market borrowers across geographies (desirable)
n Experience in analyzing free and paid research and preparation of event summaries.
n Good knowledge of loan portfolio monitoring including spreading, covenant monitoring, interim and annual reviews
n Ability to perform complex tasks with minimal support from supervisor.
n Ability to inculcate the habit of self-learning and sharing best practices.
n Should be valuable in Excel functions (mandatory), not VBA.
n The candidate should possess understanding of various data sources like Bloomberg, Factiva, among others.
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n Key Competencies
n n Preparing timely event summaries with critical analysis of impact on obligors
n Preparing detailed credit reports (interim and annual reviews) on obligors within committed timelines
n Update required trackers with latest status/updates.
n Identify ways for improvement in efficiency gains and process improvement.
n Responsible for adherence to client SLAs and Policies
n Perform ad-hoc tasks with detailed understanding on client requirement within stipulated timelines.
n Responsible for on-time identification and escalation of risks and mitigants
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n Interested Candidates please share CV's at
n Location: Gurgaon
n Notice Period: Immediate - 0-60 days