Job Views:  
201
Applications:  59
Recruiter Actions:  0

Job Code

1398252

AVP - Wholesale Banking - Financial Institution

8 - 15 Years.Jaipur
Posted 7 months ago
Posted 7 months ago

- The FIG is an integrated approach of providing Banking/Financial solutions to the clients and their portfolio companies.

- It crafts out solutions and helps clients to fund, transact and drive business forward. It also facilitates the delivery of integrated, end-to-end solutions that draw on all relevant parts of the bank.

- The primary role is to ensure that clients enjoy a single point of contact, with the Relationship Manager acting as the conduit for a full suite of Bank Services

- It is a global team focused on a lending value requirements, initial margin calculations, stress testing (incl. CCAR) and suitability risk.

- It partners with client advisory teams and product specialists to provide clients with solutions and services in a risk controlled manner to benefit clients and the firm.

- The Capital Markets team has risk management expertise and product knowledge across various financial products (cash/derivatives) and asset classes including Fixed Income, FX, Equities, Credit, Commodities, Structured Products and Alternative Investments.

- As a global team with regional representation, the members work closely with each other to establish well-informed and consistent views for the organization

- Prepare and analyze financial and operating statistics of financial institutions such as banks, broker companies, NBFC, Insurance Companies

- Prepare financial models and forecasts for specific companies and maintain proprietary analytical forecasts.

- Track, collect and analyze economic, market, industry/sector, company and bond market data of importance for reference.

- Utilize quantitative and qualitative information obtained to determine financial and competitive advantages for the clients

- Assess credit risk to develop and write opinions on fundamental credit trends and ratings.

- Provide recommendations on specific sectors and individual securities based upon credit analysis.

- Analyze prospectuses to determine structure and covenants of new and secondary issues

- Graduation/ Post-Graduation (MBA preferred) from a recognized university preferable from Finance background

- 5-8 years in the BFSI sector

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Job Views:  
201
Applications:  59
Recruiter Actions:  0

Job Code

1398252

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