delivery manager- credit review & reporting in gurgaon

randstad india
position type
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gurgaon, haryana
position type
reference number
randstad india
apply now

job description

delivery manager- credit review & reporting in gurgaon

?To assess the creditworthiness of corporate and FIG borrowers. The role will resolve around financial analysis,
credit risk & mitigants analysis, free cash flow analysis, covenant analysis, report writing. Additionally, the role
offers the incumbent to learn the nuances of credit monitoring in a live commercial banking environment. The role
involves both quantitative and qualitative analysis and hence expect the candidates to possess excellent skills to
perform both these effectively

?Excellent Opportunity to work in Global Research Team. The organization is known to encourage work life balance and along with providing long-term careers to its employees.

Client Introduction
?Our Client enables organizations to innovate and transform in an everchanging
world. Their global pool of domain experts enables businesses to innovate, scale, and reduce costs.
Providing customized solutions and have a tangible impact on our clients top-line and
bottom-line, enabling them to achieve more with less.They provide solutions to leading bulge-bracket financial institutions, asset managers, Fortune 100 corporations, mid-tier companies, boutique investment banks, and funds.


?Credit Review.
Credit Reporting.
People Management.


?? Post-graduation degree in Finance/Economics degree from reputed University, with added
qualifications like CFA/CA/FRM preferred.
? Minimum 8-10 years of research experience in credit analysis and rating.
? The candidate should possess good knowledge of the banking processes related to commercial
? Candidate who are working for corporate loans, or are working at ITES/shared services/captive set up
and undertaking corporate credit analysis will hold an advantage while applying for this role.
? The candidate must have hands on experience in carrying out tasks like credit appraisals, finalizing
risk ratings, preparing or writing narratives/credit notes for credit approvals, financial modelling,
relative valuation, precedent transactions and ongoing monitoring. They will be participating in various
con-calls, analyzing quarterly/annual reports, compliance and other associated reports and writing
earnings blurbs post updating of financial models for the current quarter. The candidate will be
communicating with onshore counterparts on regular/daily basis hence spoken English capabilities
need to be demonstrated.
The candidate may have experience revolving around financial modeling, credit research and writing
reports on companies across sectors. Someone with experience on capital structure and pro forma analysis, IRR and Sensitivity analysis, liquidity analysis, debt maturity and deleveraging analysis
together with covenant compliance stress testing will be preferred.