- Manage and lead a team of analysts, motivate the team, assess performance, and lead training and development initiatives
- Strong understanding of investment risk, cash flow analytics and pricing models for performing / non-performing consumer loan portfolios, RE & infrastructure and other asset classes
- Successful applicant is expected to understand the end-to-end process
- Understanding business requirements
- Data Gathering & quality checks
- Highlighting data gaps
- Perform EDA
- Data Preparation
- Cash Flow Modelling using guestimates and other mathematical approaches
- Understand the nuances of various asset classes and different regions to build financial models to assess the value and evaluate risk of potential asset portfolio acquisitions or asset revaluations, incorporating cash flow projections.
- Independently prepare reports and supporting analysis that clearly shows the impact of various pricing scenarios on investment returns and communicating these results to stakeholders.
- Manage stakeholders to agree on scope and timelines of the deliverables
- Review the analysis prepared by the team
- Take complete responsibility of delivery of a project from requirement gathering, planning to execution and implementation
- Experience working in of financial/cash flow modelling within the financial services sector.
- Numerical degree, preferably at master's level (i.e. mathematics, science, engineering, economics, or MBA - Finance) from a top tier university.
- Strong aptitude and financial / statistical understanding to develop complex analytical tools
- CFA / FRM shall be preferred
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