The Group is focused on improving asset quality and closely monitoring critical exposures to enable proactive action whenever required. Special portfolios are being identified for special focus, with the mandate of maintaining and enhancing the quality of assets.
Additionally this group continues to emphasize value realization from the portfolio of security receipts acquired through sale of assets from asset reconstruction companies. This is being achieved through appropriate deal structuring and creating investor interest in these assets.
The role:
The role chiefly involves undertaking M&A activities, divestments & handling projects which have run into problems. There is focus on restructuring some of the existing loans which are currently in stress. Credit monitoring is one of the key activities undertaken with the objective of avoiding NPAs as well as leading to quick settlements. The role also involves close co-ordination with the legal team for the limited cases which may involve litigation.
Key skills required:
Strong credit analytics
Ability to connect with clients in different situations
Structuring and documentation skills
Qualifications:
Should be a CA/MBA having 6-12 years of corporate banking or credit/stressed asset management experience. Should have been involved in a profile with client interaction and understanding of credit.
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