JOB OBJECTIVE:
To perform quarterly financial, operational and portfolio reviews of organization's partners across sectors, prepare credit notes, and provide recommendation in order to assist in taking further credit exposure on the organization's partners, to develop a thorough understanding of the underlying sectors to assess the sector risks such as credit risks, regulatory risk, economy risk etc. To cover clients to assess the ground level credit risks and to be able to identify early warning signals.
Key Accountability :
Description:
To be able to carry out independently detailed quarterly financial, operational and portfolio reviews of organization's partners and provide credit recommendation with minimal supervision
To perform sector benchmarking across players of the underlying sector and detailed analysis of the operational drivers in the sectors and become a sector expert in a span of next one/two years
To ensure liaising between business and other internal teams to ensure timely approvals
To visit clients to assess the ground level operational risks
To maintain an up-to-date knowledge of the wider policy, regulatory environment and recent development in the sector
SPECIFICATIONS: QUALIFICATIONS, EXPERIENCE, & COMPETENCIES:
Minimum Qualifications:
- MBA/ CA
Minimum Experience:
- Two to three year of relevant experience in the financial sector preferably in the banking sector
Skills Required:
- Adaptable, confident, reliable and motivated graduates with strong time management skills and the ability to work effectively under pressure.
- Ability to multi task and deliver qualitative outputs consistently at short deadlines
- Excellent communication skills. Fluency in English is must.
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