Posted By
Posted in
Banking & Finance
Job Code
621413
- Leading asset manager well positioned for growth
- One of the most awarded fund house
- Excellent career growth and opportunity
As part of the team covering Fixed Income and Structured Investments, you will be responsible for the following:
1. Assessment of credit risk of Indian corporates, both investment grade and non-investment grade by analyzing credit strength and weakness of counterparties based on their P/L, balance sheet, cash flow, operating track record, management strength and the dynamics of the underlying industries they operate in.
2. Identifying key risk factors to determine counterparty's creditworthiness
3. Conduct Credit Research focusing in India region and keep abreast of key developments in the industry from regulatory, market and credit perspectives
4. Opportunities to be involved and manage various type of fixed income focus mandates
5. Work alongside team members on business and financial analysis on existing and prospective clients to identify gaps and opportunities
6. Review, develop and document credit policies and procedures
7. Perform any other general administrative duties/ad-hoc projects as assigned by immediate supervisor/s
Job requirements:
To be successful in the role, you will need to have the following qualifications/qualities:
- Education: CA/CFA/MBA (Top Ranked colleges)
- At least 5 years of relevant experience and/or track records in credit analysis and/or fixed income portfolio management
- Team player and attitude to learning are essential
- Ability to learn and work in fast paced environment
- Strong articulation, presentation, and analytical skills
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Posted By
Posted in
Banking & Finance
Job Code
621413