capital-structure-jobs-in-tiruchirappalli, Tiruchirappalli

29 Capital Structure Jobs nearby Tiruchirappalli

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posted 2 weeks ago
experience3 to 7 Yrs
location
Chennai, Tamil Nadu
skills
  • Audit
  • Consulting
  • IFRS
  • Financial Reporting
  • Consolidation
  • Treasury Management
  • Financial Risk Management
  • Cash Flow Forecasting
  • Bank Relationship Management
  • Debt Management
  • Investment Management
  • Hedge Accounting
  • MS Office
  • Communication Skills
  • Analytical Skills
  • Presentation Skills
Job Description
In a world that is constantly evolving, your role as an EY GDS Assurance FAAS FSO Insurance Senior is crucial in guiding the more than 300,000 people at EY towards building a better working world for clients and communities. With innovative services in auditing, tax consulting, and management consulting, EY drives clients into the future and strengthens public confidence in global capital markets. Your responsibilities include: - Providing advisory services in areas such as accounting, reporting, and controlling process assessment - Optimizing finance processes and automation including Robotics Process Automation - Supporting accounting change in IFRS and new standards implementation - Managing treasury strategy, operating model, and transformation support - Handling reporting global cash balances and treasury metrics - Overseeing debt servicing, foreign exchange, and derivative transactions - Operating balance sheet hedging programs and managing multi-currency cash management needs - Reviewing complex AP and AR queries and managing balance sheet reconciliations - Supporting projects for treasury reporting and controls - Training, supervising, and developing junior staff resources To be successful in this role, you are required to have: - At least 3 years of relevant experience in Audit and/or Consulting within the Banking/Insurance sector - Expertise in the latest IFRS developments - Knowledge in financial reporting, consolidation, accounting methodology, or controlling department - Bachelor or Master degree complemented with a relevant professional education - Basic skills in Treasury organizational structure, financial risk management, cash flow forecasting, and more - Good communication skills in English - Knowledge of MS Office tools - Analytical mindset and critical thinking - Strong written and verbal communication skills - Willingness to occasionally travel EY offers you the opportunity to work in a supportive team environment, access a variety of training programs, develop a broad business knowledge, and work on an interesting portfolio of clients and projects. Additionally, you will receive a competitive compensation package and a wide range of benefits to choose from. By joining EY, you will contribute to building a better working world, creating long-term value for clients, people, and society while fostering trust in the capital markets.,
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posted 2 months ago
experience5 to 9 Yrs
location
Chennai, Tamil Nadu
skills
  • Structured Finance
  • Credit Analysis
  • Valuation Analysis
  • Sales
  • Proposal Writing
  • Securitisation
  • Local Bonds
  • Blended Finance Transactions
Job Description
Role Overview: Kaleidofin, a fintech platform dedicated to providing financial solutions for low-income customers and informal economy businesses, is looking for a skilled individual to join their team as a Structured Finance Specialist in Chennai. As part of the team, you will be responsible for structuring and executing local currency debt transactions in East African markets, originating and pitching deals to investors, collaborating with various financial institutions to build investor confidence, and contributing to fundraising initiatives. Your role will also involve leveraging Kaleidofin's risk intelligence and credit tech to design scalable solutions and actively participating in proposal writing, investor outreach, and sales processes. Key Responsibilities: - Structure and execute local currency debt transactions in East African markets - Originate and pitch deals to local and international investors - Work closely with DFIs, financial institutions, and capital market players to build investor confidence - Be involved in fundraising initiatives, focusing on securing grants and delivering technical assistance to enhance proposal quality and compliance - Utilize Kaleidofin's risk intelligence and credit tech to design scalable solutions - Contribute to proposal writing, investor outreach, and sales processes Qualifications Required: - CA / CFA / MBA Finance with a minimum of 5-8 years of experience in Structured Finance, preferably in NBFCs/finance/fintech sector/MFIs - Strong understanding of structured finance, credit analysis, economic evaluation, strategic cost-benefit analysis, valuation analysis, and partnership thesis - Experience in designing or executing securitization, local bonds, or blended finance transactions - Strong sales and proposal writing skills - Passion for inclusive finance and emerging markets If you meet the above qualifications and are willing to travel up to 20% within East Africa, Kaleidofin encourages you to apply for this opportunity by sending your resume to careers@kaleidofin.com.,
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posted 2 months ago
experience2 to 6 Yrs
location
Chennai, Tamil Nadu
skills
  • Employee Relations
  • Leadership Skills
  • Data Analysis
  • Legal Compliance
  • Change Management
  • Solution Design
  • Verbal Communication
  • Written Communication
  • Interpersonal Skills
  • Company Structure
  • Crew Planning
  • Crew Engagement
  • Dynamics Management
  • Human Capital Initiatives
  • Professional Relationship Management
  • Empathy
  • Organizational Skills
  • Prioritization
  • Challenging Status Quo
Job Description
**Job Description:** As a Human Capital Resources Partner at Agnikul, you will be responsible for providing careful direction and guidance on various employee relations issues, company structure, crew planning, crew engagement, dynamics management, and other human capital initiatives. Your role will involve mentoring and coaching leadership on delivery and product management issues to help them enhance their leadership skills. Additionally, you will utilize meaningful data to identify patterns, monitor the direction of remedial actions, and ensure legal compliance with relevant laws and company guidelines. **Key Responsibilities:** - Provide direction and guidance on employee relations, company structure, and human capital initiatives. - Mentor and coach leadership on delivery and product management issues. - Utilize data to identify patterns and monitor remedial actions. - Ensure legal compliance with laws and company policies. - Support dynamics and change management for impactful HR initiatives. - Design and execute solutions that align with company vision and culture. **Qualifications Required:** - Bachelor's Degree. - 2+ years of experience in Human Resources. - Experience managing a team of direct reports. - Excellent verbal and written communication skills. **Additional Details:** Your work as a Human Capital Resources Partner at Agnikul will directly impact the company's trajectory and involve learning from senior minds at ISRO. You will have the opportunity to contribute to shaping space policy in India and engage in global supply chain optimization challenges. Location: Chennai, India Employment Type: Full Time,
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posted 2 months ago
experience10 to 14 Yrs
location
Tamil Nadu
skills
  • Legal drafting
  • Companies Act
  • Contract Act
  • Communication
  • Banking laws
  • Financial laws
  • Corporate laws
  • RBI Guidelines
  • Arbitration Act
  • RERA
  • Transfer of Property Act
Job Description
Role Overview: As a Legal Manager for Real Estate Projects, you will be responsible for drafting and vetting legal documents for financing of real estate projects, providing legal advice and support to business teams, researching and apprising stakeholders on relevant policies and laws, conducting legal training, and ensuring legal compliance of live and disbursed cases. Your role will also involve liaising with law firms for legal structures and documentation required for transactions. Key Responsibilities: - Draft and vet legal documents for real estate financing transactions - Provide legal advice and support to business teams - Research and apprise stakeholders on relevant policies and laws - Conduct legal training for front and back end teams - Ensure legal compliance of live and disbursed cases - Liaise with law firms for legal structures and documentation Qualifications Required: - Good legal drafting skills - Knowledge of banking, financial, and corporate laws including RBI Guidelines, Companies Act, Contract Act, Arbitration Act, RERA, etc. - Familiarity with Transfer of Property Act and other property laws - Excellent communication skills Additional Company Details: N/A,
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posted 2 months ago

Investment Banker

Infolexus Solutions Hiring For Infolexus Solutions
experience0 to 4 Yrs
Salary3.0 - 7 LPA
location
Chennai, Coimbatore
skills
  • excel powerpoint
  • financial modelling
  • deal structuring
  • capital market
  • account management
  • merger acquisition
Job Description
We are seeking a highly analytical and results-driven Investment Banker to join our finance team. The ideal candidate will manage financial advisory projects, including mergers and acquisitions, capital raising, and strategic investment analysis. This role requires excellent quantitative skills, market knowledge, and client management abilities. Key Responsibilities: Advise clients on mergers, acquisitions, and capital market transactions. Conduct financial modeling, valuation, and due diligence for investment opportunities. Develop pitch books, presentations, and reports for client meetings. Identify new business opportunities and build strong client relationships. Structure and execute financing deals, including equity and debt offerings. Analyze market trends and provide insights to support strategic financial decisions. Coordinate with legal, compliance, and accounting teams to ensure transaction success. Prepare documentation and assist in negotiations with investors and stakeholders. Qualifications & Skills: Bachelors degree in Finance, Economics, Business Administration, or related field (MBA preferred). Proven experience (0 - 4 years) in investment banking, corporate finance, or financial consulting. Strong knowledge of financial modeling, valuation techniques, and market analysis. Excellent communication, negotiation, and presentation skills. Advanced proficiency in MS Excel, PowerPoint, and financial analysis tools. Ability to work under pressure and meet tight deadlines. Strong attention to detail and analytical mindset. Contact Person: Rakesh HR Contact Number: 9003745749 Experience: 0 - 4+ Years Location: Coimbatore, Chennai Timings: 09.30 AM - 06.30 PM
posted 2 months ago
experience10 to 15 Yrs
location
Chennai, Tamil Nadu
skills
  • communication skills
  • negotiation
  • staff management
  • resource management
  • business understanding
  • workforce management
  • reporting
  • continuous improvement
  • project management
  • thought leadership
  • workforce planning
  • organizational development
  • risk assessment
  • compliance
  • data analysis
  • Microsoft Office
  • MS Excel
  • Tableau
  • allocation of work
  • diplomacy skills
  • fastpaced environment
  • HR needs
  • endtoend resource management
  • insights
  • controls
  • processes
  • partnering
Job Description
As a Vice President, Workforce Management Organization Design and Governance Senior Analyst at Citi, your role will be crucial in supporting the management and implementation of Citis efforts around staffing, skill adequacy, and organization design. You will need to have excellent communication skills to negotiate internally, especially at a senior level, and guide, influence, and convince others. Your responsibilities will include handling staff management issues, resource management, and allocation of work within the team/project. Strong communication and diplomacy skills are essential, along with the ability to handle ambiguity and navigate a fast-paced environment. Key Responsibilities: - Have a firm understanding of the business and HR needs to inform the execution of workforce management/human capital strategy globally - Support execution of end-to-end resource management across Enterprise Workforce Management - Contribute to reporting and insights around status, gaps, and remediation actions progress - Drive controls and processes to ensure the end-to-end Structure Framework organization - Partner with various teams to execute processes and controls - Identify continuous improvement opportunities across the Structure Framework organizations processes - Lead projects, generate new ideas, and provide insightful findings and recommendations - Consult on thought leadership for workforce planning, skills, and organizational development - Foster ongoing communication across the global business to engage all global employees in initiatives, processes, and updates - Appropriately assess risk when making business decisions and ensure compliance with applicable laws and regulations Qualifications Required: - 10 - 15 years of relevant experience - Excellent written and verbal communication skills - Ability to analyze data and provide insights for the business - Self-motivated, result-oriented, and detail-oriented - Proficiency in Microsoft Office, especially MS Excel - Knowledge of Tableau and advanced Excel skills is an added advantage - Bachelors/University degree required, Masters degree preferred - Managerial experience preferred,
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posted 2 months ago
experience3 to 7 Yrs
location
Erode, Tamil Nadu
skills
  • Underwriting
  • Financial analysis
  • MIS reporting
  • Relationship building
  • Problem solving
  • Risk assessment
  • Documentation
  • Recovery management
  • Loan applications
  • Credit worthiness assessment
  • KYC documents verification
  • Credit lending proposals
Job Description
As an underwriter for mortgage business in the assigned branch/location, your role involves reviewing and assessing a wide range of complex loan applications, making decisions or recommendations for approval to higher authorities, and underwriting proposals according to policies and procedures to meet agreed SLAs and manage business volumes. You will conduct personal discussions with customers to establish creditworthiness, ensure completion of credit/KYC documents, and verify information through telephonic, field, and collateral visits. Your key responsibilities include: - Assessing income to obligation ratios, loan to value ratios, and having in-depth knowledge of the rationale behind calculation of ratios and their impact on loan performance over long tenures. - Maintaining Portfolio MIS, Delinquency MIS, and other operations-related MIS of the cluster, and reporting regularly. - Building effective relationships with third parties to achieve the best outcomes for clients. - Taking ownership of client queries, using industry knowledge and experience to overcome challenges and solve problems. - Exceeding service quality standards and striving for continuous process improvement. - Undertaking critical reviews of credit proposals to identify industry, business, financial, management, and facility structure risks. - Ensuring collateral and other credit risk mitigation to facilitate decision-making on credit proposals. - Enabling quick turnaround time of credit lending proposals for mortgage business and home loan business in collaboration with the sales team. - Facilitating ongoing review of credit exposures to ensure bankability. - Managing the credit underwriting function of your branch, ensuring quick turnaround of credit lending proposals in liaison with local credit analysts and the sales team. - Following up and ensuring recovery of quick mortality cases between 12-18 MOV. Qualifications required for this role are a Graduate or Masters/Post Graduate degree. Certifications like CA/MBA are preferable.,
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posted 1 week ago
experience3 to 7 Yrs
location
Chennai, Tamil Nadu
skills
  • Reconciliation
  • Inventory Management
  • Client Relationship Management
  • Market Analysis
  • Investment Strategies
  • Portfolio Management
  • Compliance
  • Risk Management
  • Trade execution
  • Operational Procedures
Job Description
Yubi, formerly known as CredAvenue, is re-defining global debt markets by freeing the flow of finance between borrowers, lenders, and investors. We are the world's possibility platform for the discovery, investment, fulfilment, and collection of any debt solution. At Yubi, opportunities are plenty and we equip you with tools to seize it. In March 2022, we became India's fastest fintech and most impactful startup to join the unicorn club with a Series B fundraising round of $137 million. In 2020, we began our journey with a vision of transforming and deepening the global institutional debt market through technology. Our two-sided debt marketplace helps institutional and HNI investors find the widest network of corporate borrowers and debt products on one side and helps corporates to discover investors and access debt capital efficiently on the other side. Switching between platforms is easy, which means investors can lend, invest and trade bonds - all in one place. All 5 of our platforms shake up the traditional debt ecosystem and offer new ways of digital finance: - Yubi Loans: Term loans and working capital solutions for enterprises. - Yubi Invest: Bond issuance and investments for institutional and retail participants. - Yubi Pool: End-to-end securitisations and portfolio buyouts. - Yubi Flow: A supply chain platform that offers trade financing solutions. - Yubi Co.Lend: For banks and NBFCs for co-lending partnerships. Currently, we have onboarded over 4000+ corporates, 350+ investors, and have facilitated debt volumes of over INR 40,000 crore. Backed by marquee investors like Insight Partners, B Capital Group, Dragoneer, Sequoia Capital, LightSpeed, and Lightrock, we are the only-of-its-kind debt platform globally, revolutionizing the segment. At Yubi, People are at the core of the business and our most valuable assets. Yubi is constantly growing, with 650+ like-minded individuals today, who are changing the way people perceive debt. We are a fun bunch who are highly motivated and driven to create a purposeful impact. Inviting applications for the role of Trade Operations - Stock Broker. **Roles and Responsibilities:** - Manage End to End trade execution Via BSE & NSE Exchange. - Reconciliation of the trade settlements. - Inventory Management. - Execute buy and sell orders for debt securities and other financial instruments on behalf of clients/Distributors. - Build and maintain relationships with clients, addressing their inquiries and concerns and providing exceptional customer service. - Monitor market trends, economic indicators, and news events to identify investment opportunities and risks. - Collaborate with research analysts and other team members to develop investment strategies and portfolio recommendations. - Stay updated on industry developments, regulatory changes, and best practices in the brokerage industry. - Identify and address operational challenges, process gaps, and glitches in Daily BAUs. - Continuously enhance operational procedures within the system to align with the organization's scale and scope. - Align with internal compliance and risk & regulatory policies to achieve business process excellence. **Qualifications:** - Bachelor's degree in finance, economics, business administration, or related field. - 3 to 7 years of experience as a licensed stock broker or investment advisor. - Strong understanding of financial markets, investment products, and trading platforms. - Excellent communication and interpersonal skills, with the ability to build rapport and trust with clients. - Proven track record of achieving sales targets and delivering exceptional client service. - Ability to work independently and collaboratively in a fast-paced, dynamic environment. - Chartered wealth Manager, Fixed income Certifications or NISM certifications if any. - Strong Numerical skills required to structure pricing for Fixed Income products. - Excellent interpersonal skills and enjoys working in a highly iterative, agile, and open team environment.,
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posted 2 weeks ago
experience5 to 9 Yrs
location
Madurai, Tamil Nadu
skills
  • Underwriting
  • Portfolio management
  • MIS reporting
  • Relationship building
  • Problem solving
  • Loan applications
  • Credit worthiness assessment
  • KYC documents verification
  • Credit risk mitigation
  • Loan against property
  • Home loan business
  • Legal documentation norms
Job Description
As an Underwriter for mortgage business in the assigned branch/location, you will be responsible for reviewing and assessing a variety of complex loan applications, making decisions within defined guidelines, and recommending approvals to higher authorities. Your key responsibilities will include: - Underwriting proposals in accordance with established policies and procedures to meet agreed Service Level Agreements (SLAs) and manage business volumes in the city/area. - Conducting personal discussions with customers to evaluate credit worthiness, ensuring completion of credit/KYC documents through telephonic, field, and collateral visits. - Analyzing income to obligation ratios and loan to value ratios with a deep understanding of their impact on loan performance over extended periods. - Maintaining Portfolio MIS, Delinquency MIS, and other operations-related MIS for the cluster, and providing regular reports. - Building and leveraging effective relationships with third parties to deliver the best outcomes for clients. - Addressing client queries, utilizing industry knowledge and experience to resolve challenges and problems. - Striving to exceed service quality standards and continuously improve processes. - Conducting a critical review of credit proposals to identify industry, business, financial, management, and facility structure risks. - Ensuring collateral and other credit risk mitigation measures are in place to facilitate credit proposal decisions. - Facilitating quick turnaround of credit lending proposals for mortgage business, including loan against property and home loan business, in collaboration with the sales team. - Ongoing review of credit exposures to maintain their bankability. - Monitoring client and collateral creditworthiness from pre-sanction to post-disbursement phases, taking risk mitigation steps as necessary while adhering to legal and documentation norms and policies. - Managing the credit underwriting function of your branch, ensuring quick turnaround of credit lending proposals in collaboration with local credit analysts and the sales team. - Following up and ensuring recovery of quick mortality cases between 12-18 months of vintage. Qualifications required for this role include being a Graduate or holding a Masters/Post Graduate degree. Additionally, having certifications such as CA or MBA would be preferable.,
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posted 1 week ago

Treasury Specialist

JK Fenner (India) Ltd
experience5 to 9 Yrs
location
Chennai, Tamil Nadu
skills
  • Risk Management
  • Advanced Excel
  • Financial Modeling
  • Analytical Skills
  • Communication Skills
  • Leadership
  • Strategic Thinking
  • Adaptability
  • Collaboration
  • Cash
  • Liquidity Management
  • Banking
  • Financial Relationships
  • Investment
  • Debt Management
  • Reporting
  • Analysis
  • Treasury Management Systems TMS
  • Enterprise Resource Planning ERP
  • Data Visualization Tools
  • ProblemSolving Skills
Job Description
Role Overview: As a Treasury Specialist at J.K. Fenner (India) Limited in Chennai, you will play a crucial role in managing cash and liquidity, mitigating financial risks, maintaining banking relationships, and optimizing investments. Your expertise in treasury operations will contribute to the company's financial stability and growth. Key Responsibilities: - Oversee daily cash management, positioning, and reconciliation activities to ensure optimal liquidity. - Develop and manage short-term and long-term cash flow forecasts and budgets. - Identify opportunities to optimize cash balances and manage intercompany cash. - Drive initiatives to improve working capital management across the business. - Identify, monitor, and mitigate financial risks, including foreign exchange (FX), interest rate, and credit risks. - Develop and implement effective hedging strategies to mitigate currency fluctuations. - Ensure compliance with internal policies and external regulations related to financial risk. - Manage and maintain relationships with banks and financial institutions, negotiating terms, fees, and credit lines. - Oversee bank account administration, including opening, closing, and updating signatory authorities. - Collaborate with internal audit to ensure strong governance and proper documentation. - Manage the organization's debt portfolio, ensuring covenant compliance and providing analysis on capital structure. - Oversee the investment of excess cash, aiming to maximize returns within the company's risk tolerance. - Recommend investment opportunities and financing strategies to senior management. - Prepare and present financial reports, forecasts, and budgets to senior management and other stakeholders. - Conduct financial analysis to provide insights and support strategic decision-making. - Support internal and external audits by providing necessary documentation and information. Qualifications Required: - A Master's degree in Finance, Accounting, Economics, or a related field is often preferred. - Professional certifications such as a CFA may also be desirable. - 5-10+ years of hands-on treasury experience, with expertise in cash flow forecasting, liquidity planning, and risk management. - Experience in a listed company or global treasury operations can be a plus. - Proficiency with Treasury Management Systems (TMS), Enterprise Resource Planning (ERP) platforms, and data visualization tools. - Advanced Excel and financial modeling skills are also essential. - Strong analytical, problem-solving, and communication skills. - Leadership, strategic thinking, adaptability, and the ability to collaborate effectively with various stakeholders are crucial for success. Join J.K. Fenner (India) Limited and be part of a forward-thinking organization dedicated to excellence in Automotive and Industrial Automation Solutions.,
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posted 2 weeks ago

Group Company Secretary

URMILLA ENTERPRISES PRIVATE LIMITED
experience8 to 12 Yrs
location
Chennai, Tamil Nadu
skills
  • Companies Act
  • FEMA
  • Legal drafting
  • Stakeholder management
  • Risk management
  • Corporate governance
  • IPO process
  • SEBI LODR
  • RBI guidelines
  • Compliance frameworks
Job Description
Role Overview: You will be the Group Company Secretary responsible for overseeing all statutory compliance and corporate governance activities across the group of companies. Your role will involve ensuring adherence to legal, regulatory, and secretarial requirements, supporting the Board and its committees, and managing stakeholder governance for multiple subsidiaries and business units. Key Responsibilities: - Corporate Governance - Ensure compliance with Companies Act, SEBI regulations (if applicable), and other statutory requirements across all group entities. - Organize and manage Board meetings, Committee meetings, and Annual General Meetings (AGMs) for the group and its subsidiaries. - Prepare and maintain minutes of meetings, agendas, board papers, and statutory registers. - Advise the Board on governance best practices, regulatory changes, and corporate policies. - Statutory Compliance - Oversee timely filing of all statutory returns, forms, and disclosures (ROC filings, annual returns, share capital reports, etc.). - Ensure compliance with company law, FEMA, RBI guidelines, and other regulatory frameworks based on industry. - Conduct periodic compliance audits and ensure internal processes adhere to regulatory requirements. - Legal & Secretarial Support - Handle drafting, review, and execution of legal documents such as resolutions, contracts, MoUs, power of attorney, and shareholder agreements. - Manage shareholding structures, ESOPs, share transfers, and capital restructuring. - Provide secretarial support during mergers, acquisitions, joint ventures, and due diligence processes. - Board & Stakeholder Management - Serve as a liaison between the Board, senior management, regulatory bodies, auditors, and shareholders. - Coordinate the preparation and distribution of board packs and MIS reports. - Ensure transparency and proper communication channels across group entities. - Risk, Policy, and Compliance Framework - Develop and implement compliance frameworks, internal rules, and governance policies. - Monitor risk exposure in regulatory and governance areas and provide recommendations. - Ensure that group-wide policies align with corporate governance standards. - Group-Level Coordination - Consolidate secretarial compliance activities of all subsidiaries, joint ventures, and associate companies. - Guide secretarial teams in subsidiary companies and ensure uniform compliance practices. - Maintain master records, statutory databases, and compliance schedules for the entire group. Qualifications & Experience: - Education - CS qualification from ICSI (mandatory). - Additional degree in Law (LLB) or MBA is preferred. - Experience - 8-10 years of relevant experience in corporate secretarial functions. - Experience managing multi-company group structures is highly preferred. - Exposure to listed company compliance (if applicable) is an added advantage. Employment Type: You will be employed full-time and based at the Corporate/Head Office.,
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posted 1 week ago
experience3 to 7 Yrs
location
Chennai, Tamil Nadu
skills
  • Audit
  • Consulting
  • IFRS
  • Financial Reporting
  • Consolidation
  • Treasury Management
  • Financial Risk Management
  • Cash Flow Forecasting
  • Bank Relationship Management
  • Hedge Accounting
  • MS Office
  • Communication Skills
  • Analytical Skills
  • Critical Thinking
  • Accounting Methodology
  • Cash
  • Liquidity Management
  • Debt
  • Investment Management
Job Description
Role Overview: At EY, you have the opportunity to shape a career that reflects your uniqueness, supported by a global platform, inclusive environment, and cutting-edge technology to help you reach your full potential. Your distinctive voice and perspective are valued in contributing to EY's continuous improvement. Join the team to create an exceptional experience for yourself while working towards a better working world for all. Key Responsibilities: - Manage processes related to reporting global cash balances, treasury metrics, month-end and quarter-end close, variance analysis, and reconciliations. - Become proficient in standard cash management activities, daily cash management, bank account reconciliation, corporate banking structure activities, and administration of banking portals. - Oversee debt servicing, foreign exchange, derivative transactions, and balance sheet hedging program. - Execute operational deliverables for Interfirm and Cash Application business processes. - Review complex AP and AR queries, manage balance sheet reconciliations, and support treasury reporting and controls projects. - Prepare deliverables accurately and timely, address ad hoc requests, and perform month-end close processes. - Support colleagues with innovative ideas, train and develop junior staff, and enhance knowledge of accounting tools and applications. Qualifications Required: - Minimum 3 years of relevant experience in Audit and/or Consulting within the Banking/Insurance sector, including expertise in the latest IFRS developments. - Bachelor or Master's degree with additional professional education (e.g., Chartered Accountant, CPA, or ACCA). - Knowledge in financial reporting and/or consolidation, accounting methodology, controlling department of a financial institution. - Basic skills in Treasury organizational structure, financial risk management, cash flow forecasting, bank relationship management, governance, controls, and regulation. - Proficiency in IFRSs for financial instruments, MS Office, strong communication skills, analytical mindset, and critical thinking. - Willingness to work across sectors, adapt to new technologies, occasional travel, and collaborate closely with team members and clients. Additional Company Details: EY is dedicated to building a better working world by creating long-term value for clients, people, and society while fostering trust in capital markets. Their diverse teams in over 150 countries leverage data and technology to provide assurance and support clients in growth, transformation, and operations across various sectors. EY's services span assurance, consulting, law, strategy, tax, and transactions to address complex global challenges with innovative solutions.,
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posted 3 weeks ago
experience9 to 13 Yrs
location
Chennai, Tamil Nadu
skills
  • Requirements Gathering
  • Stakeholder Management
  • Gap Analysis
  • Data Mapping
  • Data Transformation
  • Data Reconciliation
  • Data Cleansing
  • Informatica
  • Talend
  • SAP Data Services
  • Infobasic
  • Core Java
  • EJB
  • INFORMATICA
  • Oracle
  • DB2
  • Postgres
  • MySQL
  • Core Banking
  • Retail Banking
  • Corporate Banking
  • Securities Lending
  • Asset Management
  • Compliance
  • AML
  • Private Banking
  • Securities
  • Accounting
  • GL
  • Effort Estimation
  • Project Planning
  • Training
  • Leadership
  • Database Administration
  • Performance Tuning
  • T24 Data Migration
  • AsIs ToBe Analysis
  • ETL Processes
  • Data Quality Validation
  • SQL Data Modelling
  • SourcetoTarget Mapping
  • Migration Tools eg
  • Microsoft SSIS
  • J2EE Enterprise
  • MSSQL
  • Presales Support
  • Engagement Assessments
  • Clientfacing Skills
Job Description
As a T24 Data Migration - Senior Manager at EY, you will lead the end-to-end analysis and execution of data migration initiatives across complex enterprise systems. Your role will demand deep expertise in data migration strategies, strong analytical capabilities, and a proven ability to work with cross-functional teams, including IT, business stakeholders, and data architects. You will be responsible for defining migration requirements, leading data mapping and reconciliation efforts, ensuring data integrity, and supporting transformation programs from legacy systems to modern platforms. Your role as a senior leader will also involve stakeholder engagement, risk mitigation, and aligning data migration efforts with broader business objectives. **Key Responsibilities:** - Lead end-to-end analysis and execution of data migration initiatives - Define migration requirements and lead data mapping and reconciliation efforts - Ensure data integrity and support transformation programs - Engage with stakeholders, mitigate risks, and align data migration efforts with business objectives **Mandatory Qualifications:** - Willingness to work out of client location in Chennai for 5 days a week **Technical Qualifications:** - Design and Development experience in Infobasic, Core Java, EJB, and J2EE Enterprise - Working experience and/or Knowledge of INFORMATICA - Experience in Relational or hierarchical databases including Oracle, DB2, Postgres, MySQL, and MSSQL - Good understanding of T24 architecture, administration, configuration, data structure **Preferred Qualifications:** - Database administration - Performance tuning - Prior Client facing experience At EY, we exist to build a better working world, helping to create long-term value for clients, people, and society while building trust in the capital markets. Our diverse teams in over 150 countries provide trust through assurance and help clients grow, transform, and operate. Join us and be a part of building a better working world.,
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posted 2 months ago

General Manager Finance

SPERTON - Where Great People Meet
experience8 to 12 Yrs
location
Coimbatore, Tamil Nadu
skills
  • Financial planning
  • Risk management
  • Capital allocation
  • Inventory management
  • Bookkeeping
  • Tax planning
  • Regulatory reporting
  • Financial audits
  • Debt equity management
  • Capital allocation decisions
  • Relationship management with investors
  • banks
  • financial institutions
  • Mergers
  • acquisitions
Job Description
Role Overview: You will play a pivotal role in leading the finance and accounting strategy to ensure it aligns with the organization's business goals and long-term financial health. Your responsibilities will involve overseeing financial planning, risk management, and capital allocation to support sustainable growth and profitability. Additionally, you will manage inventory, bookkeeping, and debt & equity. As a key member of the executive leadership team, you will provide strategic financial advice and direction to the organization. Key Responsibilities: - Develop and implement long-term financial strategies in alignment with the company's vision and objectives. - Lead the budgeting, forecasting, and financial planning processes to support corporate growth goals. - Monitor financial performance, identify risks, and provide key financial advice to the executive team. - Establish financial policies and risk management frameworks to safeguard company assets and ensure regulatory compliance. - Oversee tax planning, regulatory reporting, and compliance with financial regulations across relevant jurisdictions. - Lead financial audits and collaborate with external auditors to ensure accurate financial reporting and compliance. - Manage capital allocation decisions to maximize shareholder value through project investments. - Build and maintain relationships with investors, banks, and financial institutions to optimize funding and capital structure. - Offer financial insights and strategic recommendations to the CEO and board of directors on major investments, mergers, and acquisitions. Qualification Required: - Mandatory qualification as a Chartered Accountant. (Note: Additional details of the company have been omitted as they are not relevant to the job description.),
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posted 2 months ago
experience3 to 7 Yrs
location
Chennai, Tamil Nadu
skills
  • Equity Research
  • Credit Risk Analysis
  • Financial Analysis
  • Financial Modeling
  • Excel
  • Analytical Skills
  • Communication Skills
  • Private Company Evaluation
  • Valuation Techniques
  • Industry Databases
Job Description
Role Overview: As an experienced Equity Research Analyst at Yubi, you will lead credit and fundamental research for the unlisted equities investment division. Your role will involve conducting detailed financial and credit risk analysis of unlisted companies across sectors, building financial models, evaluating balance sheets, and collaborating with the deal team to support transaction structuring and risk mitigation strategies. Additionally, you will monitor portfolio companies, conduct sectoral research, and present research findings to the investment committee. Key Responsibilities: - Conduct detailed financial and credit risk analysis of unlisted companies across sectors. - Build financial models to project business performance, stress scenarios, and assess capital structure. - Evaluate balance sheets, cash flows, leverage, and liquidity to determine investment risk profiles. - Work closely with the deal team to support transaction structuring and risk mitigation strategies. - Monitor portfolio companies, track performance, and update risk ratings periodically. - Conduct sectoral research to understand industry dynamics and peer benchmarks. - Present research findings to the investment committee with clear risk-reward narratives. Qualification Required: - 3-4 years of experience in equity research, credit risk analysis, or investment banking (preferably with exposure to private markets or NBFCs). - Strong understanding of financial statements, credit metrics, and valuation techniques. - CA, CFA, or MBA (Finance) preferred. - Proficiency in Excel, financial modeling, and industry databases. - Strong analytical and communication skills. Additional Details: Yubi, a financial services company, is committed to fostering a culture of transparency, collaboration, and unlimited possibilities. With a focus on disrupting India's debt market and expanding globally, Yubi offers a holistic product suite with seven products. At Yubi, you will find a place to unleash your potential and thrive in an environment of freedom, opportunities, and growth.,
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posted 3 weeks ago
experience15 to 19 Yrs
location
Chennai, Tamil Nadu
skills
  • US GAAP
  • IFRS
  • risk management
  • technical advisory
  • analytical skills
  • written communication
  • verbal communication
  • leadership
  • financial services
  • SharePoint
  • software implementation
  • emerging technologies
  • data analytics
  • automation tools
  • PCAOBAICPA standards
  • SEC rules
  • audit quality
  • problemsolving skills
  • influence
  • regulatory inspections
  • internal quality reviews
  • offshore structures
  • fund administrators
  • asset managers
Job Description
As an Audit Quality Control and Risk Management Director at Weaver, you will play a crucial role in ensuring the quality of audit engagements for investment fund engagements. Your responsibilities will include: - Performing audit engagement quality reviews for various types of investment funds - Ensuring full compliance with professional standards and firm guidelines - Overseeing and enhancing the firm's audit methodology and tools specific to hedge funds, private equity funds, venture capital funds, mutual funds, and other pooled investment vehicles - Driving continuous improvements in risk assessment, documentation quality, independence, and ethics compliance Qualifications required for this role include: - Bachelor's degree in accounting or related field - Master's degree in accounting or related field preferred - CA, CPA, or ACCA certification - 15+ years of audit experience with a significant focus on private equity, hedge funds, venture capital, etc. - Deep understanding of US GAAP, IFRS, PCAOB/AICPA standards, and SEC rules as they relate to investment funds - Proven leadership in audit quality, risk management, or technical advisory roles - Strong analytical and problem-solving skills - Experience navigating complex technical accounting and auditing matters - Exceptional written and verbal communication skills, including the ability to influence and advise senior leadership and clients - Demonstrated success in driving audit quality initiatives and managing regulatory inspections or internal quality reviews - Act as a resource for informal consultations on technical and engagement execution matters - Assist with the development and maintenance of the financial services SharePoint site - Assist with the adoption and implementation of key software/methodology that impacts the financial services practice - Experience working with offshore structures, fund administrators, and asset managers - Knowledge of emerging technologies in audit quality (e.g., data analytics, automation tools),
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posted 2 months ago
experience4 to 8 Yrs
location
Tamil Nadu
skills
  • Underwriting
  • Financial analysis
  • MIS reporting
  • Relationship building
  • Problem solving
  • Legal compliance
  • Loan applications
  • Credit worthiness assessment
  • KYC documents verification
  • Credit risk mitigation
  • Loan against property
  • Home loan business
Job Description
As a Mortgage Underwriter at our company, your primary responsibility will be to underwrite mortgage business and manage the portfolio in the assigned branch/location. You will play a crucial role in reviewing and assessing a broad range of complex loan applications, making decisions within defined guidelines, and recommending approvals to higher authorities. Your attention to detail and adherence to laid down policies and procedures will be essential in honoring agreed Service Level Agreements (SLAs) and managing city/area business volumes effectively. Key Responsibilities: - Conduct personal discussions with customers to establish creditworthiness and ensure completion of credit/KYC documents and verifications through telephonic, field, and collateral visits. - Assess income to obligation ratios, loan to value ratios, and demonstrate in-depth knowledge of the rationale behind the calculation of ratios and their impact on loan performance over long tenures. - Maintain Portfolio MIS, Delinquency MIS, and other operations related MIS of the cluster, providing regular reports. - Build and leverage effective relationships with third parties to facilitate the best outcomes for clients. - Take ownership of client queries, utilizing industry knowledge and experience to overcome challenges and solve problems effectively. - Strive to exceed service quality standards and drive continuous process improvement initiatives. - Undertake critical reviews of credit proposals to identify industry, business, financial, management, and facility structure risks. - Ensure collateral and other credit risk mitigation measures to assist the approving authority in making informed decisions. - Facilitate quick turnaround time of credit lending proposals for mortgage business, including loan against property and home loan business, in collaboration with the sales team. - Manage the credit underwriting function of your branch, ensuring quick turnaround of credit lending proposals in coordination with local credit analysts and the sales team. - Follow up and ensure recovery of quick mortality cases between 12-18 MOV. Qualifications: - Graduate, Masters/Post Graduate Certifications (Preferable): - CA/MBA (Note: Additional details about the company were not provided in the job description.),
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posted 3 weeks ago
experience3 to 7 Yrs
location
Chennai, Tamil Nadu
skills
  • Accounting
  • Finance
  • Financial Reporting
  • Financial Analysis
  • Budgeting
  • Forecasting
  • Compliance
  • Statutory Compliance
  • Internal Controls
  • Risk Management
  • Cash Flow Management
  • Working Capital Management
  • Financial Planning
  • Strategic Financial Planning
  • Feasibility Studies
  • Financial Due Diligence
  • International Expansion
  • Financial Reporting
  • Financial Statements
  • Capital Structure
  • Investment Decisions
  • Financial Projections
  • Cash Flow
  • Liquidity Management
  • Internal Controls
  • Automation
  • HR Administration
  • Vendor Management
  • Office Management
  • Audits
  • Tax Laws
  • Business Plan
  • Operational Metrics
  • KPIs
  • Process Improvements
  • Systems Improvements
  • Insurance Policies
  • Agreements Review
Job Description
As a Financial Controller Head at Ayur.AI, your role is pivotal in overseeing and managing all financial aspects of the company. Your key responsibilities include: - Preparation of monthly MIS and annual financial statements in compliance with Indian Accounting Standards and Companies Act - Conducting financial analysis to identify trends, variances, and opportunities for cost optimization and revenue enhancement - Developing profit center wise budgets and maintaining regular financial reports - Overseeing the implementation of Tally and other financial software for improved efficiency and accuracy - Ensuring adherence to all statutory compliance requirements including GST, TDS, income tax, and other relevant regulations - Leading the annual budgeting process and defining financial targets and resource allocation - Collaborating with the management team to make key decisions and assist in strategic initiatives and fundraising efforts - Providing recommendations for optimizing financial performance and conducting feasibility studies for new products - Managing day-to-day cash flow and working capital to ensure adequate liquidity for operations - Establishing and maintaining robust internal controls and financial processes to mitigate risks and ensure compliance - Overseeing the implementation of financial software and driving automation initiatives in finance operations - Participating in HR administration and managing company assets, leases, and insurance policies - Reviewing agreements and MoUs to assess financial liability before commitments are made To qualify for this role, you should be a Qualified Chartered Accountant with at least 5 years of relevant experience. Strong analytical skills, business awareness, and problem-solving abilities are essential, along with excellent oral and written communication skills. If you are ready to take on this challenging yet rewarding role, please send your application to contact@ayurai.io. Join us in our mission to transform holistic healthcare for billions of people at Ayur.AI.,
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posted 2 weeks ago
experience4 to 8 Yrs
location
Coimbatore, Tamil Nadu
skills
  • Data mining
  • Analytical skills
  • Teamwork
  • Collaboration
  • Adobe Experience Platform
  • SDLC methodologies
  • Adobe Marketing Cloud solutions
  • Customer Data Platform
  • Journey Optimizer
  • Customer Journey Analytics
  • Database structure principles
  • Segmentation techniques
  • Problemsolving
Job Description
Role Overview: At EY, you will have the opportunity to shape a career that is as unique as you are, with the necessary global support, inclusive culture, and advanced technology to help you reach your full potential. Your distinctive voice and perspective are crucial in contributing to EY's continuous improvement. Join the team to create an exceptional experience for yourself and contribute towards building a better working world for all. Key Responsibilities: - Coordinate with stakeholders to gather business requirements. - Participate in all stages of the software development lifecycle, including estimating, technical design, implementation, documentation, testing, deployment, and support of applications developed for clients. Qualifications Required: - Bachelor's degree or equivalent. - Minimum of 5 years of full life cycle implementation experience using various SDLC methodologies (waterfall, Agile). - Minimum of 4 years of experience implementing Adobe Experience Platform solutions. - Minimum of 4 years of experience delivering projects, including leading group workshops and joint application design sessions. - Proven work experience as a Data Lead, Data Scientist, Data Analyst, or similar role. Additional Company Details: EY aims to create a better working world by fostering long-term value for clients, people, and society while building trust in the capital markets. With the support of data and technology, diverse EY teams in over 150 countries offer assurance and assist clients in their growth, transformation, and operations. Operating across assurance, consulting, law, strategy, tax, and transactions, EY teams focus on asking better questions to find innovative solutions to the complex challenges of today's world.,
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posted 3 weeks ago
experience8 to 12 Yrs
location
Chennai, All India
skills
  • Financial Services
  • Structured Products
  • Mathematics
  • Analytical Skills
  • Communication Skills
  • Presentation Skills
  • CA
  • MBA
  • Debt Capital Markets
  • Excel Modelling
Job Description
Role Overview: Yubi Securities is seeking a candidate to join their team as a merchant banker specializing in fixed income securities. The role involves executing issuances and pass through certificates (PTC) for financial and non-financial entities, requiring expertise in product structuring, documentation, and liaison with regulatory bodies. The position also entails understanding the nuances of PTC and bond structures, as well as compliance with regulatory guidelines in the Indian market. Building strong relationships with regulatory bodies for trade execution and innovation is also a key aspect of the role. Key Responsibilities: - Understand deal contours and structure deals based on investor and client requirements - Prepare Term sheets, Cash Flows, and liaise with Lawyers for definitive Documentation - Interpret laws and regulations related to Yubi product offerings to facilitate negotiations on legal documents - Coordinate with multiple counterparties including Issuers, Investors, Trustee, Law Firm, Rating Agency, Stock exchange, Depository, RTA, Auditor, etc. to facilitate execution processes - Address queries related to cash flows or Bond/PTC details from investors and/or Issuers - Provide Bond/PTC related inputs and cash flows support to Sales/Ops team as required - Utilize relationship management skills to interact and manage issuers effectively Qualification Required: - CA or MBA with 8-10+ years of experience in financial services - Strong understanding of debt capital markets with experience in structured products - Experience in structured finance desk of CRAs, DCM desks, or bank RMs dealing with product notes - Proficiency in mathematics, excel modeling, and high-level analytical skills - Excellent communication and presentation skills - Attention to detail and ability to work effectively under pressure (Note: The additional details about the company were omitted as they were not present in the provided Job Description.) Role Overview: Yubi Securities is seeking a candidate to join their team as a merchant banker specializing in fixed income securities. The role involves executing issuances and pass through certificates (PTC) for financial and non-financial entities, requiring expertise in product structuring, documentation, and liaison with regulatory bodies. The position also entails understanding the nuances of PTC and bond structures, as well as compliance with regulatory guidelines in the Indian market. Building strong relationships with regulatory bodies for trade execution and innovation is also a key aspect of the role. Key Responsibilities: - Understand deal contours and structure deals based on investor and client requirements - Prepare Term sheets, Cash Flows, and liaise with Lawyers for definitive Documentation - Interpret laws and regulations related to Yubi product offerings to facilitate negotiations on legal documents - Coordinate with multiple counterparties including Issuers, Investors, Trustee, Law Firm, Rating Agency, Stock exchange, Depository, RTA, Auditor, etc. to facilitate execution processes - Address queries related to cash flows or Bond/PTC details from investors and/or Issuers - Provide Bond/PTC related inputs and cash flows support to Sales/Ops team as required - Utilize relationship management skills to interact and manage issuers effectively Qualification Required: - CA or MBA with 8-10+ years of experience in financial services - Strong understanding of debt capital markets with experience in structured products - Experience in structured finance desk of CRAs, DCM desks, or bank RMs dealing with product notes - Proficiency in mathematics, excel modeling, and high-level analytical skills - Excellent communication and presentation skills - Attention to detail and ability to work effectively under pressure (Note: The additional details about the company were omitted as they were not present in the provided Job Description.)
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