corporate-bonds-jobs-in-palakkad, Palakkad

1 Corporate Bonds Jobs nearby Palakkad

Toggle to save search
posted 2 months ago
experience2 to 6 Yrs
location
Kochi, Kerala
skills
  • Adobe Illustrator
  • Adobe Photoshop
  • Adobe Premiere Pro
  • After Effects
  • HTML
  • CSS
  • JavaScript
  • jQuery
  • Bootstrap
  • WordPress
  • Figma
Job Description
You will be responsible for the following tasks: - Design posters and graphics for digital campaigns (social media, email, ads). - Create promotional, product, and corporate videos. - Develop brochures, flyers, catalogues, and presentations. - Design exhibition stall layouts and promotional event materials. - Design & maintain Sioniqs company website with modern, user-friendly UI. - Build and maintain client websites with responsive and appealing design. - Ensure consistency of brand identity across all visual assets. - Design logos, icons, and brand elements aligned with company values. - Create posters for birthdays, work anniversaries, onboarding, and internal events. - Design festive posters to strengthen company culture and branding. The ideal candidate should possess the following qualifications: - Bachelors degree / diploma in a relevant field such as Computer Science / Information Technology, Graphic Design / Fine Arts / Illustration, Multimedia Design / Digital Media Production, Web Design & Development. The company has the following terms of employment: - Bond Period: 3 Years from the date of joining (including probation). - Probation Period: 6 Months - During probation, working days will be 6 days a week (Monday to Saturday). - After successful completion of probation, regular working days will be 5 days a week (Monday to Friday). - Performance Review: Regular assessments during probation for confirmation and future growth planning.,
ACTIVELY HIRING

Top Companies are Hiring in Your City

For Multiple Roles

Jio Platforms Ltd
Jio Platforms Ltdslide-preview-Genpact
posted 2 months ago
experience8 to 13 Yrs
Salary10 - 22 LPA
location
Bhubaneswar, Hyderabad+3

Hyderabad, Pune, Mumbai City, Delhi

skills
  • servicing
  • relationship
  • development
  • insurance
  • closure
  • broking
  • management
  • presentation
  • market
  • crm
  • sales
  • leadership
  • pipeline
  • business
  • planning
  • negotiation
  • branch
  • communication
  • b2b
  • retention
  • client
  • corporate
  • strategic
  • skills
  • deal
  • people
  • expansion
  • excellence
  • team
  • knowledge
Job Description
We are hiring for multiple senior and mid-level roles across India in Sales, Marketing, and Client Servicing functions.  We are looking for experienced professionals with strong exposure to Corporate Sales, team management, and client handling within the Insurance Broking, Credit Rating, or Healthcare industries. Candidates should possess excellent leadership, communication, and negotiation skills, with a focus on achieving business growth and maintaining client satisfaction.   Open Roles: We have openings for Zonal Sales Head (South & North) with 15+ years of experience and a CTC range of 2530 LPA. Candidates must have deep experience in Corporate Sales and the ability to lead teams across multiple regions.  The Branch Head (Pune) and Branch Manager (Bhubaneswar) roles require 1012+ years of experience in Corporate Sales, with the capability to handle branch operations and P&L responsibilities.  We are also looking for Senior Sales Heads and DGM to Vice President positions in Hyderabad with 1218+ years of experience and a CTC range between 1840 LPA. Ideal candidates should have hands-on experience in managing large sales teams, driving sales strategy, and ensuring business expansion.  Mid-level opportunities include AVP / Manager / Sr. Manager Corporate Sales in Noida and Mumbai with 5+ years of experience and a CTC between 1225 LPA. Candidates from Insurance Broking or related sectors handling SME insurance will be preferred.  Openings for Assistant Manager / Manager Business Development (Techno Marketing Surety Bonds) in Hyderabad and Mumbai require 23 years of experience. The role involves promoting Surety Bond products through technical and marketing initiatives and collaborating with clients and insurers for business growth.  Additional positions include Placement Head Non EB in Hyderabad (20 LPA, 12+ years of experience), Assistant Manager / Manager Client Servicing in Delhi (67 LPA, 4+ years of experience), and Retention / Client Servicing Executives in Delhi (up to 10 LPA, 5+ years of experience).  Candidates with experience in managing client relations, policy renewals, and team coordination within the insurance or service-based industries will be highly preferred. If you are a results-driven professional with strong communication, leadership, and business development skills, we encourage you to apply for suitable roles based on your experience.   Interested candidates can apply or share their resume at: Salman@zgstaffingsolutions.in +91-8073579112  
INTERVIEW ASSURED IN 15 MINS
posted 1 day ago

Institutional Sales Officer

TALKS ABOUT PEOPLE HR SOLUTIONS LLP
experience4 to 8 Yrs
Salary14 - 16 LPA
location
Ahmedabad
skills
  • treasury management
  • wealth management
  • institutional sales
  • investment advisory
  • fixed deposits
  • corporate sales
  • mutual funds sales
  • mutual funds
  • family office
Job Description
Were Hiring | Manager / AVP Institutional Sales (Treasury & Investments) CTC: Up to 20 LPA** | Location: Ahmedabad Experience: 4 to 6 Years | Industry: BFSI | Investment Management | Treasury SolutionsAre you an experienced Institutional Sales professional with strong relationships across corporate treasuries, banks, NBFCs, and institutional investors Heres your opportunity to join a fast-scaling financial services organization in a high-impact role that directly engages with senior decision-makers and drives institutional growth.Were looking for a dynamic, well-networked individual with a deep understanding of fixed-income instruments, liquidity management, and treasury products to lead institutional sales across the Ahmedabad region. Key ResponsibilitiesDevelop and grow institutional client relationships across Banks, NBFCs, Corporates, FIs, and Family Offices.Drive mobilization of investments and deposits across FDs, Bonds, CPs, Mutual Funds, and Lending Products.Act as a trusted treasury advisor, providing customized investment and liquidity solutions.Work closely with internal teams Product, Compliance, Legal, and Operations to ensure seamless execution.Stay updated on market trends, yield movements, and regulatory updates to guide client strategies.Support commercial lending and deal origination through treasury networks and client referrals. Ideal Candidate Profile 59 years of experience in Institutional Sales / Treasury Sales / Corporate Banking / DCM. Strong network with CFOs, Treasurers, and senior treasury decision-makers. Expertise in fixed income, liquidity, and investment products. Prior experience with Banks, NBFCs, AMCs, or Institutional Distribution setups. NISM Series VA certification preferred. Excellent negotiation, relationship management, and deal structuring skills. High ownership mindset, strong commercial acumen, and client-first approach. Whats on OfferStrategic, high-visibility role within a growing financial services platform.Direct engagement with C-suite and institutional clients.Competitive compensation + performance-linked incentives.Opportunity to drive institutional investment strategy and expansion.Fast-tracked career growth with leadership exposure. Interested professionals can share their CVs and portfolios at: vedanti.abdeo@tapindia.co.in or on 9373270378
INTERVIEW ASSURED IN 15 MINS
question

Are these jobs relevant for you?

posted 2 months ago

Reference Data Manager II

Chase- Candidate Experience page
experience10 to 14 Yrs
location
Maharashtra
skills
  • Fixed Income
  • Team Management
  • Stocks
  • Bonds
  • Options
  • Financial Markets
  • MS Excel
  • Pivot Tables
  • Corporate Actions
  • Analytical Skills
  • VLookups
  • Index Benchmarking
  • ProblemSolving
Job Description
As a Reference Data Manager, you play a crucial role in ensuring the accuracy of bond prices sourced from third-party providers. Your responsibilities include validating bond prices against market references, analyzing price movements in correlation with market news, and collaborating with pricing vendors to address discrepancies and reduce risk. Additionally, you are involved in monitoring valuation movements within client portfolios on a daily and monthly basis, contributing to pricing control process enhancements, and participating in various ad-hoc projects. Key Responsibilities: - Capture and validate bond prices on a daily basis - Analyze price shifts in alignment with market news - Coordinate with pricing vendors to mitigate risks - Oversee system operations and ensure accuracy - Produce pricing and market impact summaries - Maintain reports on index rebalances Qualifications Required: - At least 10 years of experience in Fixed Income roles - Background in team management - Solid understanding of stocks, bonds, options, and financial markets - Advanced proficiency in MS Excel, including pivot tables and v-lookups - Knowledge of industry activities such as corporate actions and index benchmarking - Experience with pricing vendors like Bloomberg and Reuters - Strong analytical and problem-solving skills - Ability to work both independently and collaboratively within a team environment,
ACTIVELY HIRING
posted 1 month ago
experience7 to 11 Yrs
location
Karnataka
skills
  • Corporate Finance
  • Fund Raising
  • Capital Markets
  • Financial Instruments
  • Financial Modeling
  • Liquidity Management
  • Communication Skills
  • Negotiation Skills
  • Analytical Skills
  • Fundraising Strategies
  • Debt Structuring
  • Legal
  • Financial Structures
Job Description
As a candidate for the position, you will be responsible for the following key responsibilities: - Developing and executing debt funding strategies aligned with the company's financial goals and objectives. - Leading in the structuring, pricing, and execution of debt transactions such as bonds, loans, and credit facilities. - Building and managing relationships with banks, financial institutions, and investors. - Leading discussions with banks, internal stakeholders, and other relevant parties for the closure of loan documentation to ensure timely disbursement. - Monitoring and managing the company's cash flow to meet liquidity requirements while balancing short-term and long-term capital needs. - Ensuring compliance with all relevant regulations and reporting requirements in debt transactions. - Managing external credit rating agencies on an ongoing basis. - Ensuring accurate accounting of book entries in ERP related to the debt portfolio. Qualifications required for this role include: - CA/MBA with a finance background. - At least 7-8 years of experience in Corporate Finance with a focus on Fund Raising. - Strong knowledge of capital markets, financial instruments, and fundraising strategies. - Successful track record of closing debt raising transactions in India. - Experience with financial modeling, debt structuring, and liquidity management. - Good understanding of legal and financial structures. - Complete knowledge of debt deal life cycles. - Excellent communication and negotiation skills. - Strong analytical skills and attention to detail. No additional details of the company were provided in the job description.,
ACTIVELY HIRING
posted 1 month ago
experience3 to 7 Yrs
location
Chennai, Tamil Nadu
skills
  • Investment related experience
  • Hands on experience on Mutual funds Bonds
  • Good communications
Job Description
As an experienced individual in the field of Wealth Management, your role will involve the following responsibilities: - Developing and implementing strategies aligned with the Group's business strategy and model - Handling AME Investment operations and Corporate actions processes - Ensuring ongoing training and development of the team members, ensuring they are skilled and qualified for their roles - Interpreting financial information to identify key issues and implementing appropriate controls and measures - Demonstrating awareness of the regulatory framework, requirements, and expectations relevant to your role Key qualifications for this position include a Bachelor's or Master's degree. In addition, you should possess the following skills and experience: - Investment-related experience - Hands-on experience with Mutual funds and Bonds - Strong communication skills About Standard Chartered: Standard Chartered is an international bank dedicated to making a positive impact for clients, communities, and employees. With a history spanning over 170 years, we strive to challenge the status quo and create opportunities for growth and improvement. Our values focus on doing the right thing, continuous improvement, and collaboration to build for the long term. If you are seeking a purpose-driven career with a bank that values diversity and inclusion, we encourage you to join us. In addition to the challenging and rewarding work environment, we offer various benefits including retirement savings, medical and life insurance, flexible working options, proactive wellbeing support, continuous learning opportunities, and an inclusive organizational culture that celebrates diversity and respects individual potential.,
ACTIVELY HIRING
posted 2 months ago
experience3 to 8 Yrs
location
All India
skills
  • VaR
  • Credit Risk
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate derivatives
  • Credit Derivatives
  • CVA
  • Pricing
  • Valuation
  • Mark to Market
  • Volatility
  • Asset Classes
  • Total Return Swaps TRS
  • FVA
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of basis point
  • Yield curve
  • Parallel shifts in yield curve
  • Point shifts in yield curve
Job Description
As an experienced market risk professional with 3-8 years of experience in market risk measurement within an investment bank or other financial institution, you must have previous VaR or Credit Risk experience. Your knowledge in Asset Classes should include at least 1-2 of the following: Equity, Fixed Income, FX, Commodities, Derivatives & Structured Products. Your role will require experience and knowledge of Fixed Income and Derivatives, especially Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA etc. It is essential to have a basic understanding of pricing and valuation of these products. You should also have an understanding of key risk/profitability concepts such as Probability of Default, Event of Default, Jump to Default, Present Value of basis point, Mark to Market, volatility, Yield curve, parallel and point shifts in yield curve etc. Ideally, you should hold a higher degree in finance or a related area, or a professional qualification such as CFA, FRM, PRIMA. General knowledge of risk issues and investment products, along with some programming skills, would be desirable. Your ability to work well in a team, build relationships, produce high-quality work under pressure and tight deadlines, question the status quo, and provide alternative approaches will be crucial in this role.,
ACTIVELY HIRING
posted 2 months ago
experience10 to 16 Yrs
location
Maharashtra
skills
  • Accounting
  • Strategic Planning
  • Process Optimization
  • Resource Management
  • Performance Monitoring
  • Team Leadership
  • Budget Management
  • Collaboration
  • Quality Control
  • Risk Management
  • Fund Accounting
  • Amortization
  • Bonds
  • Dividends
  • Custody Processing
  • Middle Office Operations
  • Income
  • Corporate Actions
  • Entitlement Calculations
  • Market Claims Lifecycle
  • Loan Claims Lifecycle
  • Regulatory Knowledge
Job Description
As an Income COE Assistant Vice President, you will play a crucial role in supporting and assisting Client Operations and other operational Shared Service teams/Center of Excellence (COEs). Your main responsibilities will include monitoring and processing custody, accounting, middle office related events accurately and timely. You will be expected to ensure prompt follow-up on exception situations, facilitate timely problem resolution to mitigate risks, and deliver excellent service to clients and manage people effectively. - Strategic Planning: Develop and implement operational strategies aligned with the company's overall business goals. - Process Optimization: Identify and implement improvements to streamline operations, increase efficiency, and reduce costs. - Resource Management: Effectively manage resources (people, budget, technology) to achieve operational objectives. - Performance Monitoring: Track key performance indicators (KPIs) and take corrective actions for improvement. - Team Leadership: Lead and develop a team of managers and staff within the operations department. - Budget Management: Manage the operational budget efficiently for resource allocation and cost control. - Collaboration: Work with other executive teams to ensure alignment and coordination across the organization. - Quality Control: Ensure high-quality products or services that meet customer needs. - Risk Management: Identify and mitigate potential operational risks. - Deep knowledge of Income and Corporate Actions: Understand the end-to-end income cycle, fund accounting, amortization, concepts on bonds, dividends, entitlement calculations, market and loan claims lifecycle, and relevant regulations. - Bachelor's Degree in Commerce/Economics with a specialization in Business, Accounting, Finance, or another Financial related program. Inter C.A. / Inter ICWAI or CFA (pursuing) will be preferred. - 10-16 years of experience in accounting, finance, mutual fund operations, loan servicing, or related careers (preferred). State Street is a leading custodian bank, asset manager, and asset intelligence company globally. With a legacy of over two centuries, State Street helps clients safeguard and steward investments. They provide investment servicing, data & analytics, investment research & trading, and investment management to institutional clients. State Street strives to create a great work environment with competitive benefits packages, including medical care, insurance, savings plans, and flexible Work Programs. Development programs and educational support are also available to help employees reach their full potential.,
ACTIVELY HIRING
posted 2 weeks ago
experience8 to 20 Yrs
location
Maharashtra
skills
  • Corporate Actions
  • Loan Servicing
  • Bonds
  • Equities
  • Loans
  • Fund Administration
  • Custodians
  • Loan Processing
  • Asset Management
  • Asset Servicing
  • Geneva
  • Hedge Funds
  • Credit
  • Private Equity
  • Capital Markets
  • Separate Accounts
  • Mutual Funds
  • Communication Skills
  • Interpersonal Skills
  • Leadership Skills
  • Wall Street Office
  • Reorgs
  • CLO Equity
  • Credit Activity
  • WSO
  • Loan Closing
  • Bank Loans
  • Alternative Asset Management
  • Investment Operations
  • Black Mountain
  • Everest
  • IVP Data Management
  • PrivateMiddle Market Loans
  • Institutional Separate Accounts
  • SMALimited Partnerships
  • OpenEnd Mutual Funds
  • ClosedEnd Funds
  • UCITs
  • CLOs
  • Fund Structures
  • Accounting Theories
  • Investment Vehicles
  • Hedge Fund Operations
  • Private Equity Operations
  • Documentation Skills
Job Description
As an Associate Vice President at Ares in Mumbai, you will be an integral part of the Investment Operations team, collaborating with various business stakeholders and corporate functions. Your expertise in corporate actions, loan servicing, and Wall Street Office will be essential for overseeing loan operations, fund admins, custodians, and processing credit activities and restructures for different business lines. Your role will involve researching and escalating loan operation issues, collaborating with the Loan Settlements/Servicing teams, and ensuring best practices in a rapidly growing environment. **Key Responsibilities:** - Serve as the primary escalation contact and day-to-day manager for the loan operations team in Mumbai - Facilitate training and provide ongoing support for the local team - Coordinate, process, and reconcile all daily servicing events, including amendments and restructures - Oversee and manage loan processing in WSO for all deals - Review daily credit events with third-party administrators and custodian banks - Act as the 1st point of escalation for high-risk breaks and identify areas for issue prevention - Review daily reconciliations between internal systems and third parties - Coordinate loan operations related audit requests - Prepare KPIs regularly and participate in ad hoc projects - Maintain high-quality controls and enhance loan operations workflows **Qualifications Required:** - Experience in global capital markets or investment management firms with expertise in Investment Operations - Prior experience with an alternative asset manager preferred - Strong knowledge of bank loans, ClearPar, and Wall Street Office - Understanding of basic accounting theories - Experience with diverse investment vehicles such as SMA/Limited Partnerships, Mutual Funds, CLOs, etc. - Hedge fund, Credit, or Private Equity experience is a plus Ares, as an alternative asset manager, focuses on a comprehensive asset mix heavily concentrated in bank debt. The ideal candidate will have experience working with diverse lines of business for a global client base, including pensions, insurance, and institutional investors. Your dynamic, adaptive, and hands-on approach will ensure the best practices are followed in a fast-paced environment. If you are a self-directed individual with outstanding communication skills, a proactive nature, and the ability to manage multiple priorities effectively, this role offers you an opportunity to thrive in a collaborative and energetic environment at Ares. Apply now to be a part of our team focused on shared prosperity and a better future.,
ACTIVELY HIRING
posted 1 week ago
experience3 to 8 Yrs
location
Karnataka
skills
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate derivatives
  • Total Return Swaps
  • TRS
  • Credit Derivatives
  • CVA
  • investment products
  • statistical analyses
  • Asset Classes
  • FVA
  • pricing
  • valuation
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of basis point
  • Mark to Market volatility
  • Yield curve parallel
  • point shifts in yield curve
  • security pricing
  • interest rate curves
  • term structure sensitivity
  • risk profitability concepts
  • risk issues
  • programming skills
Job Description
As a member of the Market Risk team at Infosys Limited, your role will involve expanding the team's presence in India to support activities in data management, risk operations, product, and research. Your expertise in working with real-world data and conducting statistical analyses will be crucial for the team's success. We are seeking individuals who are motivated self-starters, team players, eager collaborators, continuous learners, and committed to going the extra mile for our internal and external clients. Key Responsibilities: - Possess at least 3-8 years of experience in market risk measurement within an investment bank or financial institution, with previous exposure to VaR or Credit Risk. - Demonstrate knowledge in Asset Classes, specializing in any 1-2 of the following: Equity, Fixed Income, FX, Commodities, Derivatives, Structured Products. - Exhibit experience and knowledge in Fixed Income and Derivatives, particularly in Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA, etc. - Showcase a basic understanding of pricing and valuation of financial products. - Understand key risk and profitability concepts including Probability of Default, Event of Default, Jump to Default, Present Value of basis point, Mark to Market, volatility, Yield curve parallel and point shifts, etc. - Demonstrate the ability to analyze the price of a security into its various constituent components such as interest rate curves and relevant term structure sensitivity. - Possess a higher degree in finance or related fields, or a professional qualification like CFA, FRM, PRIMA would be advantageous. - Have a general knowledge of risk issues, investment products, and some programming skills. - Ability to work effectively in a team, build strong relationships, and deliver high-quality, accurate work under pressure and tight deadlines. - Willingness to challenge the status quo, question assumptions, and provide alternative approaches. Preferred Skills: - Domain expertise in Financial Risk Management, specifically in Credit Risk Management and Market Risk Measurement & Control.,
ACTIVELY HIRING
posted 1 week ago

Retirals Trust Investment Manager

Maruti Suzuki India Ltd
experience5 to 9 Yrs
location
Haryana
skills
  • Financial Markets
  • Credit Risk
  • Liquidity Risk
  • Gsec
  • Corporate Bonds
  • Mutual Funds
  • Investment Analysis
  • Cash Flow Forecasting
  • Accounting
  • Compliance Management
  • Auditing
  • Digitization
  • Automation
  • Power BI
  • Equity Investments
  • Debt Investments
  • SDLs
  • ALM Management
  • Actuarial Valuation
  • Financial Statements Preparation
  • Power Automate
Job Description
As a member of the CFT team at MSIL, your role will involve managing Retirals Trusts investments, financials, and other related functions of MSIL Provident Fund, Gratuity Fund, and Superannuation Fund Trusts. Your responsibilities will include: - Monitoring cash flow forecasting and liquidity planning for retiral trust and for MSIL - Formulating and implementing strategies for equity and debt investments in G-sec, SDLs, corporate bonds, and mutual funds - Analyzing and proposing investment proposals for perusal to senior management, ensuring compliance to EPFO and other regulatory requirements - Dealing with various brokers and market participants to negotiate and deal while purchasing/selling securities Additionally, you will be responsible for: - Post-investments monitoring of credit quality analysis of the investment portfolio as well as related sectors - Exploring alternate investment opportunities to optimize returns - ALM management for retiral fund investments - Coordinating with various market participants to stay informed about developments in financial markets impacting retirals trust - Managing the operational aspects and related accounting for activities related to investments, redemptions, and fund switches In terms of Accounting related to Retiral Trust, your duties will involve: - Monitoring cash flow forecasting and liquidity planning for retiral trust and MSIL - Record keeping and management of transactions pertaining to the investment of retiral trusts - Periodic reconciliation of the Investment register - Timely submission of data for actuarial valuation of Investment of Retirals trust - Preparation and finalization of financial statements of retiral trust, ensuring compliance with EPFO, Income tax, and other regulations - Dealing with internal and external stakeholders including statutory auditors, internal auditors, and EPFO auditors - Exploring strategy on Equity and Debt portfolio churning to improvise the return on Investment Other responsibilities will include: - Identifying opportunities for digitization and automation to optimize processes - Having hands-on experience with various tools like Power BI, Power Automate - Being ready to take up various challenging assignments as and when required (Note: Any additional details about the company were not found in the provided job description),
ACTIVELY HIRING
posted 2 months ago
experience5 to 9 Yrs
location
Maharashtra, Pune
skills
  • Corporate Actions
  • Financial products
  • Team management
  • Analytical skills
  • Project management
  • Communication skills
  • Microsoft Excel
  • SQL
  • Complex reconciliation processes
  • Organizational skills
  • Reconciliation systems
Job Description
As an AVP for Reconciliation Process at our Capital Markets and Securities Services operations, you will play a critical role in leading and optimizing complex reconciliation processes, with a focus on corporate actions. Your responsibilities will include: - Leading the comprehensive reconciliation process for various capital market products, ensuring timely and accurate resolution of breaks. - Demonstrating deep expertise in Corporate Actions reconciliation, including dividends, mergers, acquisitions, stock splits, rights issues, and bond calls, and ensuring accurate reconciliation across all affected accounts and systems. - Developing, implementing, and maintaining robust reconciliation procedures and controls to mitigate operational risks. - Identifying opportunities for process automation and efficiency gains within the reconciliation function, leveraging technology and best practices. - Overseeing the end-to-end lifecycle of reconciliation breaks, from identification and investigation to resolution and reporting. - Ensuring adherence to internal policies, regulatory requirements, and industry best practices. - Driving continuous improvement initiatives and fostering a culture of operational excellence and innovation. In terms of people management and leadership, you will be responsible for: - Leading, mentoring, and developing a high-performing team of reconciliation professionals. - Conducting performance reviews, providing constructive feedback, and identifying training and development needs for team members. - Delegating tasks effectively, managing team workload, and ensuring optimal resource utilization. - Promoting cross-training and knowledge sharing within the team to build resilience and expertise. Additionally, as an AVP, you will act as a primary point of contact for internal and external stakeholders, including Front Office, Middle Office, Finance, Risk Management, Technology, and external custodians/brokers. You will build and maintain strong working relationships with all stakeholders, represent the reconciliation team in cross-functional projects and initiatives, and provide regular updates and reporting on reconciliation status to senior management. You will also be responsible for leading and managing large-scale reconciliation transitions, including system migrations, new product onboarding, and operational changes. This will involve developing comprehensive project plans, managing timelines, resources, and budgets, and working closely with technology teams to ensure seamless integration of new processes and systems. Qualifications required for this role include: - Minimum of 10+ years of overall experience in Capital Markets and Securities Services operations. - Minimum of 5 years of hands-on experience in complex reconciliation processes, with a strong understanding of Corporate Actions. - Strong project management and organizational skills. - Excellent written and verbal communication skills. - Proficiency in reconciliation systems and tools, as well as advanced proficiency in Microsoft Excel. Education requirements include a Bachelor's degree in Finance, Accounting, Business Administration, or a related field. A Master's degree or relevant professional certifications (e.g., CFA, FRM) is a plus.,
ACTIVELY HIRING
posted 2 months ago
experience8 to 20 Yrs
location
Maharashtra
skills
  • Corporate Actions
  • Loan Servicing
  • Bonds
  • Equities
  • Loans
  • Fund Administration
  • Custodians
  • Loan Processing
  • Asset Servicing
  • Geneva
  • Hedge Fund
  • Credit
  • Private Equity
  • Capital Markets
  • Asset Management
  • Loan Operations
  • Research
  • Analysis
  • Communication Skills
  • Interpersonal Skills
  • Leadership Skills
  • Wall Street Office
  • Reorgs
  • CLO Equity
  • Credit Activity
  • WSO
  • Loan Closing
  • Investment Operations
  • Bank Loans
  • ClearPar
  • Black Mountain
  • Everest
  • IVP Data Management
  • Institutional Separate Accounts
  • SMALimited Partnerships
  • OpenEnd Mutual Funds
  • ClosedEnd Funds
  • UCITs
  • CLOs
  • Accounting Theories
  • Corporate Actions Experience
  • Investment Vehicles
  • Fund Structures
Job Description
Role Overview: As an Associate Vice President / Senior Associate at Ares, you will be joining the Mumbai Investment Operations team where you will work closely with business stakeholders in various lines of business and corporate functions. Your primary responsibility will be to oversee loan operations, fund admins, custodians, and process all credit activity and restructures in WSO for loans across different business lines. You will play a crucial role in ensuring best practices in a fast-paced and growing environment. Key Responsibilities: - Serve as the primary escalation contact and day-to-day manager for the loan operations team in Mumbai - Facilitate training and provide ongoing support for the local team - Coordinate, process, and reconcile all daily servicing events including amendments and restructures - Oversee and manage loan processing in WSO for all deals - Review credit events with third-party administrators and custodian banks on a daily basis - Act as the first point of escalation for high-risk breaks and identify areas for issue prevention - Review daily reconciliations between internal systems and third parties to resolve discrepancies - Coordinate loan operations related audit requests - Prepare KPIs regularly and participate in ad hoc projects - Maintain high standards of quality control and enhance loan operations workflows - Liaise with various internal and external stakeholders for portfolio-specific activities and issues Qualifications Required: - Experience in high-quality global capital markets or investment management firms with expertise in Investment Operations and Asset Servicing functions - Prior experience with an alternative asset manager is preferred - Strong knowledge of bank loans with the ability to learn various asset classes - Experience with loan closing process in ClearPar and loan servicing process in Wall Street Office - Understanding of basic accounting theories - Experience with diverse investment vehicles such as Institutional Separate Accounts, SMA/Limited Partnerships, CLOs, and complex fund structures - Strong leadership skills and ability to work effectively in a fast-paced environment Additional Company Details: Ares, as an alternative asset manager, has a comprehensive asset mix concentrated in bank debt. The ideal candidate should have experience working with diverse lines of business for a global client base including pensions, insurance, and institutional investors. The role requires a dynamic, adaptive, experienced professional to thrive in a rapidly growing environment. Reporting Relationships: You will report to the Associate Vice President, Global Asset Servicing & Reconciliation at Ares. (Note: There is no set deadline to apply for this job opportunity. Applications will be accepted on an ongoing basis until the search is no longer active.),
ACTIVELY HIRING
posted 1 week ago
experience3 to 8 Yrs
location
All India
skills
  • VaR
  • Credit Risk
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate Derivatives
  • Total Return Swaps
  • Credit Derivatives
  • CVA
  • Pricing
  • Valuation
  • Mark to Market
  • Volatility
  • Market Risk Measurement
  • Asset Classes
  • FVA
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of Basis Point
  • Yield Curve
  • Parallel Shifts
  • Point Shifts
  • Term Structure Sensitivity
  • Programming Skills
Job Description
As an experienced market risk professional, you will be responsible for measuring market risk within an investment bank or financial institution. Your role will involve previous experience in VaR or Credit Risk, with a strong knowledge of Asset Classes such as Equity, Fixed Income, FX, Commodities, Derivatives, and Structured Products. Key Responsibilities: - Utilize your expertise in Fixed Income and Derivatives, focusing on Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA, etc. - Demonstrate a basic understanding of pricing and valuation for these products. - Apply your knowledge of key risk and profitability concepts, including Probability of Default, Event of Default, Jump to Default, Mark to Market, volatility, Yield curve, and shifts in yield curve. Qualifications Required: - Possess at least 3-8 years of experience in market risk measurement within the financial sector. - Hold a higher degree in finance or a professional qualification such as CFA, FRM, PRIMA. - Have a general understanding of risk issues, investment products, and programming skills. - Exhibit the ability to work effectively in a team, build relationships, and deliver high-quality work under pressure and tight deadlines. - Demonstrate willingness to challenge the status quo and provide alternative approaches. If there are any additional details about the company in the job description, kindly provide them for a more comprehensive understanding of the role.,
ACTIVELY HIRING
posted 2 weeks ago
experience2 to 6 Yrs
location
Coimbatore, All India
skills
  • Bloomberg Terminal
  • Corporate Actions
  • Equities
  • Options
  • Bonds
  • Futures
  • Reconciliation Processes
  • Portfolio Accounting
  • General Ledger Systems
  • Spots
  • Forwards
  • Bank Debts
  • Credit Default Swaps CDS
  • Contract for Difference CFD Swaps
Job Description
Role Overview: You will be joining the State Street Global Delivery (GD) team, which provides asset owners and managers with essential financial tools to deliver effective investment solutions. Your role will involve daily cash and position reconciliation between funds and brokers, hedge fund reconciliation activities, reconciliation of dividend & market valuation of the portfolio, and other reconciliation tasks to ensure accurate financial calculations. Key Responsibilities: - Daily Cash and Position Reconciliation between fund and Broker - Hedge fund Reconciliation activity for Cash, Cost, and Position - Reconciliation of Dividend & Market Valuation of the portfolio during month-ends for the fulfillment of calculation of GNAV - Market Value Reconciliation, Expense Accounting including Management Fee, Admin Fee and Incentive Fee, Dividend Accrual Reconciliation, Bond Coupon Accrual Reconciliation, Confirming Trial Balance ledgers tie-up with various sub-ledgers Qualifications Required: - Hands-on experience in using Bloomberg Terminal for searching information on Corporate Actions, verifying coupon accruals for bonds and Price for securities - Good domain skills in reconciliation processes, especially pertaining to market value recon, transaction, and cost recon - Exposure with portfolio accounting, General ledger systems - Exposure to trading instruments like Equities, Options, Bonds, Futures, Spots and Forwards, Bank Debts, Credit Default Swaps (CDS), and Contract for Difference (CFD Swaps) Education & Preferred Qualifications: - Bachelor's or master's degree in accounting or MBA Finance Additional Details: State Street is one of the largest custodian banks, asset managers, and asset intelligence companies in the world. They have been helping clients safeguard and steward investments for more than two centuries. State Street provides investment servicing, data & analytics, investment research & trading, and investment management to institutional clients. The company offers competitive benefits packages, flexible work programs, and development opportunities for employees to reach their full potential. State Street is committed to fostering an inclusive environment where every employee feels valued and empowered to succeed. Note: The Job ID for this role is R-779846. Role Overview: You will be joining the State Street Global Delivery (GD) team, which provides asset owners and managers with essential financial tools to deliver effective investment solutions. Your role will involve daily cash and position reconciliation between funds and brokers, hedge fund reconciliation activities, reconciliation of dividend & market valuation of the portfolio, and other reconciliation tasks to ensure accurate financial calculations. Key Responsibilities: - Daily Cash and Position Reconciliation between fund and Broker - Hedge fund Reconciliation activity for Cash, Cost, and Position - Reconciliation of Dividend & Market Valuation of the portfolio during month-ends for the fulfillment of calculation of GNAV - Market Value Reconciliation, Expense Accounting including Management Fee, Admin Fee and Incentive Fee, Dividend Accrual Reconciliation, Bond Coupon Accrual Reconciliation, Confirming Trial Balance ledgers tie-up with various sub-ledgers Qualifications Required: - Hands-on experience in using Bloomberg Terminal for searching information on Corporate Actions, verifying coupon accruals for bonds and Price for securities - Good domain skills in reconciliation processes, especially pertaining to market value recon, transaction, and cost recon - Exposure with portfolio accounting, General ledger systems - Exposure to trading instruments like Equities, Options, Bonds, Futures, Spots and Forwards, Bank Debts, Credit Default Swaps (CDS), and Contract for Difference (CFD Swaps) Education & Preferred Qualifications: - Bachelor's or master's degree in accounting or MBA Finance Additional Details: State Street is one of the largest custodian banks, asset managers, and asset intelligence companies in the world. They have been helping clients safeguard and steward investments for more than two centuries. State Street provides investment servicing, data & analytics, investment research & trading, and investment management to institutional clients. The company offers competitive benefits packages, flexible work programs, and development opportunities for employees to reach their full potential. State Street is committed to fostering an inclusive environment where every employee feels valued and empowered to succeed. Note: The Job ID for this role is R-779846.
ACTIVELY HIRING
posted 2 weeks ago
experience2 to 6 Yrs
location
All India
skills
  • MS Excel
  • MS Access
  • VBA
  • SQL
Job Description
As a Bond Analytics Analyst at AVP level in Deutsche Bank, Bangalore, India, you will be part of the Trust and Agency Services (TAS) team, which is a leader in providing administrative and fiduciary services to the global debt and equities markets. Your role will involve covering European working hours to support the EMEA/Americas business. The corporate title will be determined based on your experience level. **Key Responsibilities:** - Read and interpret governing legal and issuer documents such as Prospectuses/Offering Circulars, Bond Indentures, and Pooling and Servicing Agreements. - Participate in ad hoc/special projects to support process improvement and technology initiatives. - Analyze issues, provide practical solutions, and exercise independent judgment with minimal supervision. **Qualifications Required:** - Bachelor of Science/Engineering or qualified CA/CFA with a high GPA and a minimum of 2 years of professional experience. - Previous experience in developing cash flow models and exposure to the securities industry. - Proficient in MS Excel and/or MS Access with good scripting skills in VBA. - Experience in using SQL. - Ability to handle multiple projects under tight deadlines, demonstrate a customer/client service focus, and mitigate operational risks. - Strong organizational, communication, and analytical skills, with the ability to work independently and as part of a team. In addition to the above responsibilities and qualifications, Deutsche Bank offers a range of benefits to support you, including a best-in-class leave policy, gender-neutral parental leaves, flexible working arrangements, sponsorship for industry-relevant certifications, employee assistance program, comprehensive insurance coverage, and health screening for individuals above 35 years. If you join Deutsche Bank, you will receive training and development opportunities to excel in your career, coaching from experts in your team, and a culture of continuous learning to aid your progression. The company promotes a positive, fair, and inclusive work environment where employees are empowered to excel together every day. For more information about Deutsche Bank and its teams, please visit the company website at [https://www.db.com/company/company.htm](https://www.db.com/company/company.htm). Join us in striving for a culture where we act responsibly, think commercially, take initiative, and work collaboratively towards shared success in Deutsche Bank Group.,
ACTIVELY HIRING
posted 2 months ago

Corporate Sales Associate

Arihant Capital Markets Ltd
experience2 to 6 Yrs
location
Indore, Madhya Pradesh
skills
  • Market Research
  • Sales Strategies
  • Client Relationship Management
  • Financial Services
  • Equities
  • Commodities
  • Financial Planning
  • Depository Services
  • Investment Advisory Services
  • Merchant Banking
  • Currency Broking
  • Distribution of Financial Products
  • Mutual Fund Investment
Job Description
As an eager candidate for the role, you will be responsible for the following tasks: Role Overview: You will play a crucial role in identifying, engaging, and acquiring new corporate clients to meet revenue targets. Building and nurturing strong client relationships through consistent communication and support will also be a key aspect of your role. Additionally, conducting thorough market research to pinpoint opportunities and contribute to the formulation of effective sales strategies will be vital to your success in this position. Key Responsibilities: - Identify, engage, and acquire new corporate clients to achieve revenue targets. - Build and maintain strong client relationships through regular communication and support. - Conduct market research to identify opportunities and assist in developing sales strategies. Qualifications Required: - Previous experience in corporate client acquisition and relationship management. - Strong communication and interpersonal skills. - Proven ability to conduct market research and analyze data effectively. If you join the team at Arihant Capital Markets Limited, you will be part of a leading financial services company in India. Established in 1992, the company boasts a nationwide presence and a dedicated team. Arihant Capital Markets Limited serves a diverse clientele comprising retail clients, corporations, and institutions. The range of products and services offered by the company includes equities, commodities, and currency broking, financial planning, depository services, investment advisory services, distribution of financial products (IPOs, bonds), and mutual fund investment and advisory merchant banking.,
ACTIVELY HIRING
posted 1 week ago
experience0 to 3 Yrs
location
Maharashtra, Pune
skills
  • KYC
  • Loans
  • Document Capture
  • Settlements
  • Drafting
  • Trade Support
  • Corporate Actions
  • MS Excel
  • Front Office
  • Regulatory Reporting
  • Equity Securities
  • Derivatives
  • FX Spot
  • Options
  • Futures
  • Finance
  • Planning
  • Organizing
  • Time Management
  • Reference Data Management
  • Legal Docs
  • Portfolio Reconciliation
  • System Reconciliation
  • Brokerage Functions
  • Tax Operations
  • Trade Confirmation Matching
  • Back Office Reconciliation
  • Cash Flows
  • Syndicated Loans
  • Corporate Action Setup
  • Interest Rates Swaps
  • Credit Derivatives Swaps
  • Commodities Derivatives
  • Fixed Income Products
  • Logical Abilities
  • Quantitative Abilities
Job Description
As an Analyst at eClerx Financial Markets in Pune, you will be responsible for working on back-office and middle-office processes for financial institutions. Your role will involve handling various stages of the client/product lifecycle across various functions such as KYC, reference data management, legal docs, loans, portfolio reconciliation, document capture, system reconciliation, pre and post settlements, brokerage functions, drafting, trade support, corporate actions, tax operations, and more. Your responsibilities will include data capture, cataloging, data processing, system inputs and updates, reconciliations, settlements, and fund transfers. You will also be preparing reports using MS Excel and may require external interaction with agents/counterparties/clients to resolve process-related queries and discrepancies via phone or email. Key responsibilities include: - Identifying and escalating risks, promptly reporting outstanding issues to clients. - Performing various trade support activities across the Trade Lifecycle, such as Trade Confirmation matching, Trade Pre-Settlements support, Front office to back-office reconciliation of trade positions, report generation, and settlements of cash flows from trading events (e.g., Interest or Premium). - Handling operations of Syndicated Loans and Corporate action setup and operations. - Managing other capital market operational tasks beyond Trade Lifecycle support, including Reference Data support and Regulatory reporting (Swaps Data Repository, SDR, KYC-AML, various front-office and back-office reconciliations). - Learning and mastering various financial products, including Equity Securities and Derivatives, Interest Rates Swaps, FX Spot, Options, Futures, Credit Derivatives Swaps, Commodities Derivatives, and Fixed Income products (e.g., Corporate and Treasury Bonds). Qualification and Skills: - 0 to 6 months of experience in investment banking operations involving projects, people, process, and client management. - Bachelors Degree (B.Com, BBA, BBM, BCA) / Masters Degree (M.Com, MBA, PGDM). - Basic knowledge of finance, trade lifecycle, investment banking, and derivatives. - Strong logical and quantitative abilities to derive insights from data. - Proficiency in planning, organizing, and time management. Please note that eClerx Financial Markets offers consulting, technological innovation, and process management expertise to uniquely solve operational challenges for financial organizations worldwide. With nearly two decades of industry experience, complemented by smart automation and robotics, the team of experts delivers holistic solutions across the trade lifecycle, change management, data analytics, compliance, cash securities operations, document digitization and generation, and outreach.,
ACTIVELY HIRING
posted 2 months ago
experience5 to 9 Yrs
location
Maharashtra
skills
  • Capital Markets
  • Loans
  • Financing
  • Relationship Management
  • Capital Structuring
  • Cash Management
  • SEBI Regulations
  • Company Law
  • Income Tax
  • Financial Reporting
  • Corporate Finance
  • Treasury Management
  • Risk Management
  • Compliance
  • Governance
  • Debt Financing
  • Credit Ratings
  • Debt Capital Market Issuances
  • Credit Ratings Criteria
  • Financing Strategies
  • RBI Regulations
  • Financial Policy Formation
Job Description
As a professional in debt financing and capital markets, you will be responsible for managing various aspects related to loans, financing, and credit ratings. Your key responsibilities will include: - Managing the raising of loans including Syndicated and Bilateral Loans, project loans, Revolving Credit Facilities, and working capital facilities in multiple jurisdictions and currencies. - Building and maintaining relationships with domestic and international Banks, FIs, debt Investors, and International Development banks. - Overseeing debt capital market issuances such as REGS Senior Bond Issuance and Non-Convertible Debenture issuance. - Handling domestic credit ratings (India Ratings, CARE Ratings, ICRA, CRISIL) & International Credit Ratings (S&P & Moodys) with a deep understanding of credit ratings criteria. - Developing financing strategies for senior management & Board approvals, monitoring markets, interest rates, liquidity, and optimizing risk vs. return. - Ensuring optimum capital structuring & cash management practices to maximize savings in alignment with business objectives & market trends. - Utilizing broad knowledge of RBI regulations, SEBI Regulations, Company Law, Income Tax, Financial Reporting to support strategic thinking and effective structuring of transactions. - Working across Corporate Finance, Treasury & Financial Reporting areas including Borrowings, liquidity Management, Risk Management, compliance, financial policy formation, and governance. Qualifications required for this role include: - CA/ICWA/MBA or PGDM in Finance - CFA certification This role offers you the opportunity to apply your expertise in debt financing and capital markets to drive financial success and strategic growth within the organization.,
ACTIVELY HIRING
posted 1 week ago
experience4 to 14 Yrs
location
Chennai, Tamil Nadu
skills
  • Capital Markets
  • Investment Banking
  • Trading
  • Brokerage
  • Advisory
  • Portfolio Management
  • Cash Management
  • Corporate Actions
  • Collateral Management
  • Asset Servicing
  • Equities
  • Mutual Funds
  • Gap Analysis
  • Stakeholder analysis
  • Sprint Planning
  • Story Writing
  • Testing
  • Agile methodologies
  • Asset Wealth Management
  • Securities Services
  • Clearing Settlement
  • Securities lending
  • Borrowing
  • MarginingRisk management
  • Bonds Fixed Income
  • Derivatives Futures Options
  • SDLC skills
  • Product Owner
  • Business Analyst
  • Requirement Elicitation
  • Prioritization
  • Sprint Review
  • Product Backlog Management
  • Business Requirement Document
  • Functional Requirement Document
  • Use Case specification Document
  • Workflows
  • Implementation guides
  • SDLC processes
  • Waterfall methodologies
Job Description
As a Product Owner (PO) / Business Analyst (BA) in the Capital Markets domain, your role will involve owning the backlog and working closely with the Product Lead and Technology Owner in prioritizing, creating, and refining the backlog. You should be well-versed in Requirement Elicitation, Prioritization, understanding the Scope, Gap Analysis, Stakeholder analysis & Management, Sprint Planning, Sprint Review, and Product Backlog Management. Your proficiency in story writing to support both business and technical requirements for feature development, Production stability, security, and resiliency requirements will be crucial. Additionally, you should be proficient in creating Business Requirement Document, Functional Requirement Document, Use Case specification Document, Workflows, and Implementation guides. Testing and accepting stories will also be part of your responsibilities. It is important that you possess a complete understanding of SDLC processes and Agile/Waterfall methodologies. Key Responsibilities: - Own the backlog as a Product Owner (PO) / Business Analyst (BA) - Collaborate with Product Lead and Technology Owner on backlog prioritization and refinement - Conduct Requirement Elicitation, Prioritization, Scope understanding, Gap Analysis, Stakeholder analysis & Management - Participate in Sprint Planning, Sprint Review, and Product Backlog Management - Write stories to support business and technical requirements - Create Business Requirement Document, Functional Requirement Document, Use Case specification Document, Workflows, and Implementation guides - Test and accept stories - Apply knowledge of SDLC processes and Agile/Waterfall methodologies Qualifications Required: - 4 to 14 years of experience in Capital Markets, Investment Banking, Asset & Wealth Management, Securities Services, Trading, Clearing & Settlement - Expertise in Equities, Bonds (Fixed Income), Mutual Funds, Derivatives (Futures & Options) - Strong SDLC skills with experience in Product Ownership and Business Analysis - Proficiency in Requirement Elicitation, Stakeholder Management, and Agile methodologies - Excellent communication and collaboration skills to work effectively with cross-functional teams (Note: Additional details about the company are not provided in the job description.),
ACTIVELY HIRING
logo

@ 2025 Shine.com | All Right Reserved

Connect with us:
  • LinkedIn
  • Instagram
  • Facebook
  • YouTube
  • Twitter