Job Views:  
5128
Applications:  211
Recruiter Actions:  129

Job Code

612366

Credit Risk Management Role - Financial Firm

Posted 6 years ago
Posted 6 years ago

- Independently evaluate investment opportunities across the capital structure (equity, mezzanine and senior debt) in multiple sectors

- Interact with internal stake holders (deal team, asset monitoring, senior management) and external stake holders (due diligence teams, promoters etc.) to get requisite data for analysis

- Develop and enhance proprietary in-house models for credit appraisal across sectors

- Define broader risk thresholds and framework depending on type of investment (equity, debt, mezzanine) and rating of borrower

- Present independent view on deals to senior management, external co-investment partner and committee of independent Experts/Directors

- Conduct portfolio analysis and derive at maximum loss potential estimate for the entire portfolio taking into account diversification across various sectors, assets and sub-asset groups

- Asset Liability Management : Understanding of core concepts of ALM and ability to contribute to the implementation of the ALM Policy

- Group Risk Appetite : Contribute to the development of the Group Risk Appetite statement

- Capital Allocation : Develop a risk adjusted returns based capital allocation framework to allocate capital across various business units.

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Job Views:  
5128
Applications:  211
Recruiter Actions:  129

Job Code

612366

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