structured-finance-jobs-in-kamarhati

792 Structured Finance Jobs in Kamarhati

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posted 2 days ago
experience3 to 8 Yrs
Salary20 - 26 LPA
location
Mumbai City
skills
  • structured finance
  • infrastructure finance
  • credit analysis
  • project finance
  • deal structuring
Job Description
Key Responsibilities: Evaluate infrastructure/project finance proposals and conduct credit appraisal. Build and review financial & cashflow models (DSCR, sensitivity, viability). Assess business, financial, technical, and legal risks. Support deal structuring, covenants, security, and documentation. Prepare credit notes for sanction committees. Coordinate with legal, technical consultants, and internal teams.  Requirements: 310 years in project finance / infrastructure / structured credit (non-CRE). Strong financial modelling and credit underwriting exposure. Experience with infra sectors (roads, power, ports, renewables, etc.) preferred
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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

Structured Finance

Deutsche Bank
experience4 to 8 Yrs
location
Maharashtra
skills
  • Structured Finance
  • Fixed income
  • MS Excel
  • ABSMBSABCP deals
  • Debt Capital Markets
  • Basic accounting knowledge
  • Reconciliation skills
  • Fluency in written
  • spoken English
  • PC literacy
  • Microsoft Office products
Job Description
As a Vice President in the Corporate Trust - Structured Finance team at Deutsche Bank in Mumbai, India, you will play a crucial role in supporting the Corporate Trust EMEA business across a portfolio of ABS/MBS/ABCP deals within the Structured Finance vertical. **Key Responsibilities:** - Timely completion of client & deal management system records to ensure accuracy of data - Maintaining daily accuracy of all Structured Finance deal portfolios - Escalating client or operational problems when necessary - Providing support to fellow team members, team leaders, and department head **Qualifications Required:** - Relevant experience in a similar role in investment banking or corporate banking administration - Experience in ABS/MBS administration - Good understanding of the global financial services industry, Fixed income, and Debt Capital Markets - Basic accounting knowledge and strong reconciliation skills - Ability to work under pressure, handle multiple priorities, and work effectively as part of a team Fluency in written and spoken English is essential, and knowledge of additional European languages would be beneficial. As part of the Corporate Trust team at Deutsche Bank, you will have access to training and development opportunities, coaching, and support from experts in the team to aid your progression. Deutsche Bank promotes a positive, fair, and inclusive work environment where employees are empowered to excel together every day. If you are an effective communicator, numerate, and analytical with strong attention to detail, and can thrive in a challenging and rapidly changing business environment, we encourage you to apply. The role requires PC literacy with good knowledge of Microsoft Office products, particularly MS Excel, and a degree-level education or similar qualification. Join Deutsche Bank where we celebrate the successes of our people and foster a culture that values responsibility, commercial thinking, initiative, and collaboration. We welcome applications from all individuals and are committed to maintaining a positive, fair, and inclusive work environment.,
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posted 2 months ago
experience3 to 7 Yrs
location
Maharashtra
skills
  • Strong interpersonal skills
  • Communication skills
  • Financial modeling
  • Proficiency in Excel
  • Analytical abilities
  • Solutionoriented mindset
Job Description
Job Description: As a Rating Analyst or Senior Rating Analyst at our company, you will be responsible for handling all aspects of client interaction, directing and coordinating the execution of securitisation transactions. You will support the credit rating process for structured finance transactions of moderate to high complexity. Your role will involve supporting the team in analyzing complex entities or transactions and preparing materials for ratings publication. Additionally, you will guide the team in assessing quarterly financial projections and navigating difficult analytical situations. Key Responsibilities: - Participate actively in preparing rating committee notes and presenting in committees for new issuances and a portfolio of structured finance transactions - Contribute to business activities by developing the capabilities of team members and identifying opportunities for skillset improvement through training - Maintain the integrity of internal systems supporting the rating process and drive continuous improvement efforts for better quality outcomes - Ensure adherence to analytical guidelines, quality standards, procedures, and policies within the team - Support in implementing departmental strategy and priorities, and champion organization decisions and business strategies Qualifications Required: - Strong interpersonal and communication skills - Proficiency in Excel, financial modeling, and analytical abilities - Solution-oriented mindset If you join our team, you will have the opportunity to work on a variety of structured finance transactions such as Asset Backed Securities (ABS), Residential Mortgage Backed Securities (RMBS), Commercial Mortgage Backed Securities (CMBS), Collateralized Debt Obligation (CDO), Collateralized Loan Obligations (CLO), and Covered Bonds. Your role will involve actively participating in committees, contributing to business activities, and ensuring the quality and integrity of our rating processes.,
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posted 2 weeks ago
experience5 to 9 Yrs
location
Karnataka
skills
  • Analytical skills
  • Communication skills
  • Credit Derivatives
  • Interest Rate Derivatives
  • Equity Derivatives
  • Fixed Income
  • FX Derivatives
  • Commodities
  • Murex Finance consultant
  • Murex accounting module
  • Murex Hedge Accounting module
  • Capital Markets products
  • Murex Static data
  • Finance processes in Murex
  • Functional accounting knowledge
  • Murex datamart module
  • Problem solving skills
  • FX Cash
  • Structured Derivatives
Job Description
As a Murex Finance consultant with a minimum of 5 years of experience, you will be responsible for handling various aspects of the Murex accounting module, including accounting for trades, flows, liquidation, and business events. Your expertise in implementing and supporting Murex v3.1 with a focus on Finance capabilities will be crucial for the success of the projects. Key Responsibilities: - Lead and deliver projects related to Murex implementation and support - Demonstrate excellent knowledge of Capital Markets products and processes from front to back - Manage Murex static data such as counterparts, securities, historical data, indices, Fx conversion factors, and Fx spot - Configure accounting rules and generate GL files within Murex - Utilize functional accounting knowledge to enhance the liquidation module - Work extensively with the Murex datamart module to extract valuable insights - Apply strong analytical and problem-solving skills while maintaining effective communication throughout the process Qualifications Required: - Minimum 5 years of experience as a Murex Finance consultant - Proficiency in Murex Hedge Accounting module is advantageous - Knowledge of asset classes including Credit Derivatives, Interest Rate Derivatives, Equity Derivatives, Fixed Income, FX Cash, FX Derivatives, Commodities, and Structured Derivatives - Excellent understanding of Finance processes in Murex Please note that this job requires strong leadership skills, in-depth knowledge of Murex functionalities, and the ability to navigate complex financial scenarios effectively.,
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posted 1 week ago
experience3 to 7 Yrs
location
All India
skills
  • Valuation
  • Equity Management
  • Corporate Finance
  • Financial Modeling
  • Analytical Skills
  • Written Communication
Job Description
Job Description: About Eqvista Eqvista is an integrated Saas system that helps companies to manage private company equity by minimizing costs through automation, accounting, sharing, and compliance tools built into the system. Additionally, Eqvista provides an array of valuation services to assist founders in determining their valuation for fundraising and ESOP issuance (409a). For more information about Eqvista, please visit: https://eqvista.com/ We are currently seeking a Finance Content Writer with a deep understanding of valuation, equity management, and corporate finance. This role requires the ability to interpret complex financial data and translate it into clear, insight-driven writing, with a focus on financial accuracy and clarity rather than marketing or SEO work. Key Responsibilities: - Create well-researched articles, guides, and reports related to startup valuations, equity structures, and financial modeling. - Interpret, analyze, and present financial data in a structured and engaging format. - Collaborate with analysts or product teams to ensure accuracy and clarity of technical content. - Maintain high editorial and factual standards across all financial topics. Qualifications: - Masters degree in Finance, Accounting, Economics, or a related field. - Proven experience writing on topics such as valuation methods, cap tables, venture financing, or equity management. - Strong analytical skills with the ability to interpret large financial data sets. - Excellent command of written English with precision and attention to detail. - No SEO or marketing background required - focus is purely on financial accuracy and clarity. What We're Looking For: - Degree in Finance, Accounting, Economics, or related field. - Proven experience writing or analyzing valuations, equity plans, or corporate finance topics. - Strong analytical background with comfort handling and interpreting large data sets. - Excellent written communication skills and attention to numerical accuracy. Application Instructions: Only candidates with a finance background and relevant academic qualifications should apply. Please prepare a resume detailing your financial experience and education, along with samples of previous works or a portfolio that demonstrates your expertise in financial writing and analysis. If you're a finance professional who values clear, accurate writing, we'd love to hear from you.,
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posted 2 months ago
experience2 to 6 Yrs
location
Chennai, Tamil Nadu
skills
  • Structured finance
  • NDF
  • Logistics
  • Trade Export Documentation
  • Logistics activities
  • Incoterms
  • Foreign exchange hedging
  • Futures options
  • Debit
  • credit note creation
  • Shipment execution
Job Description
Role Overview: As a Trade Export Documentation Specialist, your primary responsibility will be to prepare trade export documentation and have a basic understanding of logistics activities, including Incoterms. You will also be involved in contract and invoice processing, along with knowledge of structured finance. Key Responsibilities: - Co-ordinate with traders and execution team for various structures - Analyse trade flow reports from Business Units and allocate trade flows to deals in ERP - Prepare documents according to LC terms, update contracts, invoices, and other transactions in the ERP system - Consolidate trade/shipment flow reports from product BUs and update the ERP system Qualifications Required: - Good understanding of various trade structures such as SLC, ICFS, Corporate deals, FX Deals, etc. - Knowledge of foreign exchange hedging, futures & options, and NDF (Good to have) - Familiarity with INCO terms - Experience in debit and credit note creation - Understanding of logistics and shipment execution Additional Company Details: (Omit this section as it is not provided in the job description),
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posted 3 weeks ago
experience5 to 9 Yrs
location
Haryana
skills
  • Credit underwriting
  • Portfolio management
  • Analytical capability
  • Financial modeling
  • Risk assessment
  • Excel
  • PowerPoint
  • SQL
  • Python
  • SAS
  • Structuring acumen
  • Riskadjusted solutions
  • Covenant structuring
  • Portfolio monitoring
  • Sector insights
Job Description
As a Credit Underwriter in our company, you will play a crucial role in managing end-to-end credit underwriting and portfolio management for a high-yield credit portfolio spanning various sectors. Your responsibilities will include: - Underwriting, structuring, and recommending credit proposals for complex and high-yield transactions, while balancing risk and return objectives. - Managing underwriting for diverse asset classes such as term loans, NCDs, lease rental discounting, promoter funding, and HoldCo lending. - Collaborating with legal, technical, treasury, and risk teams throughout the deal structuring, documentation, and closure process. - Conducting continuous portfolio monitoring to identify early warning signals, track performance trends, and suggest corrective measures. - Working closely with management to prepare analytical reports, portfolio reviews, and sector insights to facilitate decision-making. Your profile should ideally include: - Proven experience in corporate, structured, or venture lending across multiple sectors. - Strong proficiency in financial modeling, risk assessment, and covenant structuring. - Exposure to promoter funding, PE/VC-backed lending, acquisition finance, and special situation credit. - Ability to interpret portfolio data, identify sectoral trends, and proactively manage risk. - Cross-functional coordination skills with an understanding of legal, technical, and treasury aspects in credit. - Proficiency in Excel and PowerPoint; exposure to analytical tools (SQL/Python/SAS) would be advantageous. You should be a well-rounded credit professional with a blend of analytical rigor and practical structuring ability, capable of underwriting complex deals, managing diversified portfolios, and ensuring disciplined risk management across high-yield and structured finance exposures. In addition to a Full-time job type, the benefits we offer include cell phone reimbursement, commuter assistance, health insurance, and Provident Fund. The work location is in person.,
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posted 1 day ago

Management Trainee - Corporate Finance Division

GRASIM INDUSTRIES LIMITED ( ADITYA BIRLA GROUP)
experience0 to 4 Yrs
location
Maharashtra
skills
  • Finance
  • Audit
  • Accounts
  • Financial Operations
  • Chartered Accountants
Job Description
As a Management Trainee in Grasim's Corporate Finance Division, you will be part of a program designed to nurture future finance leaders like yourself. Through three structured rotations, you will gain hands-on experience in finance, audit, and accounts, preparing you for a leadership role within the company. Upon successful completion, you will have the chance to secure a full-time position in any of Grasim's businesses based on your performance and organizational needs. **Key Responsibilities:** - Undergo three structured rotations to gain exposure to finance, audit, and accounts. - Participate in immersive hands-on experiences in key financial domains. - Obtain a holistic view of the company's financial operations. - Prepare for a leadership position within Grasim Industries. **Qualifications Required:** - Chartered Accountant with CA examinations cleared in either January 2025 or May 2025. **What We Offer:** - Competitive salary and benefits package. - Structured mentorship from senior finance leaders. - Exposure to real-world application of financial concepts. - Fast-track growth opportunities within Grasim Industries. - Dynamic and supportive work environment. If you are an ambitious, analytical, and proactive Chartered Accountant looking to kickstart your career in finance, this Management Trainee Program in Mumbai, Maharashtra, India, could be the perfect opportunity for you. To apply, send your CV to sonali.borage-st@adityabirla.com with the subject line "Management Trainee Application - Grasim Corporate Finance Division." The application deadline is 18th July 2025.,
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posted 3 weeks ago

VP Structured Finance Sales & Syndication

Virtuous Advisors & Resources Private Ltd (Virtuous Resources)
experience8 to 12 Yrs
location
Maharashtra
skills
  • Syndication
  • Credit Evaluation
  • Financial Analysis
  • Investment
  • Relationship Management
  • Market Intelligence
  • Financial Modeling
  • Negotiation
  • Structured Financing
Job Description
As a structured financing professional, your role will involve various key responsibilities: - Origination & Syndication: - Identify and originate structured financing opportunities in the wholesale lending space, with a focus on secured transactions. - Syndicate structured debt deals to offshore funds, AIFs, NBFCs, banks, and wealth platforms. - Develop and execute syndication strategies to ensure successful placement of transactions. - Deal Structuring & Execution: - Structure innovative financing solutions to meet borrower and investor requirements. - Conduct in-depth credit evaluation and financial analysis to form an investment thesis. - Present investment proposals to internal committees and external investors. - Negotiate terms and execute transactions end-to-end. - Investor & Client Relationship Management: - Build and maintain strong relationships with institutional investors, private credit funds, family offices, and other key stakeholders. - Engage with CFOs, treasury heads, and promoters to structure tailored financing solutions. - Maintain an active investor pipeline for deal distribution. - Market Intelligence & Strategy: - Keep track of market trends, credit risk appetite, and investor preferences. - Develop insights on industry trends to drive new opportunities. Your key qualifications and experience should include: - 8 -12 years of experience in private credit, structured finance, debt syndication, or corporate banking. - Strong understanding of structured credit, securitization, and high-yield debt markets. - Experience in originating and distributing structured debt products to institutional investors. - Proven track record in closing complex transactions, including acquisition financing, LRD, RCF, and other structured instruments. - Strong financial modeling, credit analysis, and negotiation skills. - CA/MBA (Finance) or equivalent qualification preferred. Additionally, some preferred attributes for this role are: - Established relationships with private credit funds, banks, AIFs, and NBFCs. - Strong understanding of RBI regulations and credit risk frameworks. - Excellent communication and deal-making abilities.,
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posted 1 month ago
experience5 to 9 Yrs
location
Maharashtra
skills
  • Balance Sheet Analysis
  • Financial Modelling
  • Industry Research
  • Promoter assessment
  • Business model evaluation
  • Competitive landscape analysis
  • Preparation of Credit Memorandum
  • Credit risks assessment
  • Credit covenants recommendations
  • Portfolio Monitoring
  • Portfolio audit
  • Compliances
  • Transaction execution
  • Internal presentations
Job Description
As a candidate for the position, you will be responsible for the following major deliverables: - End to end transaction execution which includes: - Promoter assessment - Business model evaluation - Balance Sheet Analysis - Financial Modelling - Industry Research - Competitive landscape analysis - Preparation of Credit Memorandum for various transactions across sectors - Understanding criticalities of the transactions and assessing credit risks for the transactions - Providing recommendations on specific credit covenants from a risk mitigation perspective - Actively liaising with other internal teams as well as client teams during transaction execution - Assisting senior management during internal presentations - Assisting teams in ensuring compliances and timely disbursement - Portfolio Monitoring along with other teams - Managing internal as well as external portfolio audit requirements - Any other task which is relevant for the profile Educational Qualification: - MBA or Post Graduation,
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posted 2 months ago
experience3 to 7 Yrs
location
Maharashtra, Pune
skills
  • Analytical skills
  • Finance
  • Economics
  • Credit analysis
  • Communication
  • Collaboration
  • Attention to detail
Job Description
Role Overview: As a Senior Credit Analyst in the Structured Finance team, your main focus will be on review and quality control, along with providing analytical insights when necessary. You will also be responsible for creating and maintaining training materials, process manuals, and documentation to ensure smooth task execution. It is essential to follow defined processes in your daily tasks while identifying opportunities for process improvements and value-added work. Key Responsibilities: - Review and QC tasks with attention to detail - Provide analytical inputs when required - Develop and maintain training materials, process manuals, and documentation - Identify opportunities for process improvement - Collaborate with other teams to enhance process efficiency - Ensure strict compliance with all Compliance, Confidentiality, and Information Security Policies and Guidelines Qualifications Required: - Bachelor's degree in Finance, Economics, or a related field - Strong analytical skills and attention to detail - Prior experience in structured finance or credit analysis preferred - Excellent communication and collaboration abilities - Ability to work in a fast-paced environment and meet deadlines,
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posted 2 months ago
experience2 to 6 Yrs
location
Chennai, Tamil Nadu
skills
  • MS Excel
  • Bloomberg
  • Intex
  • SQL
  • VBA
  • Accounting
  • Economics
Job Description
Role Overview: You will be responsible for supporting clients in monitoring and tracking the performance of a portfolio of RMBS / ABS securities. This will involve monitoring new issuances in RMBS / ABS, tracking and understanding industry dynamics and regulatory trends, as well as tracking country and macroeconomic risk. Additionally, you will work on RMBS/ABS Performance Models, including historical analysis and conducting peer comparisons. You will also assist the client in the preparation of publishable credit reports and build and maintain relationships with the client. Proficiency in MS Excel is a must, and experience working on large data sets would be beneficial. Working knowledge of Bloomberg and Intex is expected, while experience with SQL and VBA would be a plus. A basic understanding of accounting and economics is required. You should also be able to take ownership and execute tasks independently, possess good communication skills, exhibit teamwork, and be flexible in timings. Key Responsibilities: - Support clients in monitoring and tracking the performance of a portfolio of RMBS / ABS securities - Monitor new issuances in RMBS / ABS - Track and understand industry dynamics and regulatory trends - Track country and macroeconomic risk - Work on RMBS/ABS Performance Models, including historical analysis and conducting peer comparisons - Assist the client in the preparation of publishable credit reports - Build and maintain relationships with clients - Proficient in MS Excel; experience working on large data sets would be a plus - Working knowledge of Bloomberg and Intex is expected - Experience with SQL and VBA would be a plus - Possess at least a basic understanding of accounting and economics - Ability to take ownership and execute tasks independently - Good communication skills, teamwork, and flexibility in timings Qualifications Required: - Proficiency in MS Excel - Working knowledge of Bloomberg and Intex - Experience with SQL and VBA would be a plus - Basic understanding of accounting and economics,
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posted 2 days ago
experience10 to 15 Yrs
location
Noida, Uttar Pradesh
skills
  • Controllership
  • Shared Services
  • FPA
  • Transformation
  • Automation
  • Financial Reporting
  • Leadership
  • Governance
  • Stakeholder Management
  • Communication
  • Finance Operations
  • Reconciliations
  • Accounting Principles
  • Monthend Processes
  • Intercompany Settlements
  • Productivity Improvement Programs
  • PL Ownership
  • Problemsolving
Job Description
Role Overview: As the Senior Manager, Finance Operations at the Global Capability Centre (GCC), you will be responsible for leading the end-to-end delivery of Finance Operations. Your role will involve ensuring governance, cost accuracy, reconciliations, compliance, transformation outcomes, and transparent financial reporting across supported markets. This position is crucial for maintaining operational continuity post the regional transition of the Finance Director and will play a pivotal role in anchoring the India Finance Transformation agenda for FY26. Key Responsibilities: - Lead Finance Operations activities including transaction finance, reconciliations, month-end close, accounting accuracy, and inter-company processes. - Ensure financial control, governance maturity, and audit readiness across all supported markets. - Maintain financial discipline in alignment with GCC governance standards. - Act as the custodian of the GCC P&L, ensuring cost transparency, accuracy, and integrity of reporting. - Drive ROI visibility through structured savings reporting, dashboarding, and SteerCo updates. - Support charge-out governance and cost allocation accuracy for all supported markets. - Lead the execution of the India Finance Transformation plan for FY26, delivering savings and driving measurable outcomes. - Partner closely with the Regional Finance Director to validate savings, ensure compliance, and document transformation benefits. - Identify automation opportunities across Finance functions and drive efficiency, optimization, and governance enhancements. - Collaborate with stakeholders including Finance Directors, market controllers, and GCC leadership across regions to ensure transparent communication and readiness for audits and reviews. Qualifications Required: - 10-15 years of experience in Finance Operations, Controllership, Shared Services, or FP&A. - Strong understanding of reconciliations, accounting principles, month-end processes, and inter-company settlements. - Proven experience in transformation, automation, or productivity improvement programs. - Strong analytical capability with hands-on experience in financial reporting and P&L ownership. - Demonstrated ability to lead teams within a shared service or multi-market/global setup. - Experience driving governance frameworks, financial controls, and audit compliance. - Ability to collaborate with senior leaders and influence across markets. - CA / CPA / MBA (Finance) or equivalent professional finance qualification preferred. - Experience in Global Capability Centres, Shared Services, or Professional Services organizations is an advantage.,
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posted 2 months ago
experience3 to 7 Yrs
location
Maharashtra, Pune
skills
  • Credit Analysis
  • Financial Research
  • Structured Finance
  • Public Finance
  • Compliance
  • Stakeholder Management
  • People Development
  • Transaction Documents Analysis
  • Macroeconomic Analysis
  • Regulatory Trends Analysis
  • Debt Portfolio Analysis
Job Description
As a Credit Analyst, your main role will be to support global Credit Analyst(s) in analyzing the performance of a portfolio of structured finance and public finance transactions. You will assist in responding to credit events and prepare internal credit research reports and notes. Additionally, you will be involved in preparing publishable credit reports. Key responsibilities include: - Developing an in-depth understanding of transaction documents such as Offering Circular, Indenture, Letter of Credit Agreement, Tender bonds, and Commercial papers to comprehend the structure and features of the deals. - Tracking and understanding Structured Finance & US Public Finance (USPF) sector dynamics and regulatory trends. This includes analyzing macroeconomic parameters impacting the sector, assessing the impact of regulatory and legal frameworks on the sector portfolio, and conducting qualitative & quantitative analysis of primary and secondary market debt portfolios. - Staying updated on the latest developments in the Structured Finance & US Public finance market and being able to comment on their potential impact. In terms of process adherence, you will be required to focus on review and quality control, adding analytical inputs as necessary. You will also create and maintain base level training, process manuals, and documentation to ensure smooth execution of tasks. It is essential to adopt defined processes in day-to-day assignments, identify process improvement avenues, and suggest methods to make the current process more efficient. Moreover, you will play a crucial role in client and stakeholder management by building and maintaining relationships with US & EMEA clients and setting expectations with clients regarding the scope of work and timelines for routine tasks. To support the development of junior team members, you will provide analytical mentoring and implement team-level initiatives. You will also familiarize new recruits to the team and organization. In summary, your responsibilities will revolve around supporting credit analysis, staying updated on market trends, adhering to processes, managing client relationships, and contributing to the development of junior team members.,
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posted 2 months ago

VP Structured Finance Sales / Syndication

Fairdeal Corporate Advisors Pvt Ltd
experience8 to 12 Yrs
location
Maharashtra
skills
  • Syndication
  • Credit Evaluation
  • Financial Analysis
  • Relationship Management
  • Market Intelligence
  • Financial Modeling
  • Negotiation Skills
  • Structured Financing
  • Investment Proposals
  • RBI Regulations
Job Description
Role Overview: As a seasoned professional in the finance industry, you will be responsible for origination, syndication, deal structuring, and execution of structured financing opportunities. Your role will involve developing and maintaining relationships with institutional investors and clients, while also staying abreast of market trends and industry insights. Key Responsibilities: - Identify and originate structured financing opportunities in the wholesale lending space, focusing on secured transactions. - Syndicate structured debt deals to offshore funds, AIFs, NBFCs, banks, and wealth platforms. - Develop and execute syndication strategies for successful placement of transactions. - Structure innovative financing solutions to meet borrower and investor requirements. - Conduct in-depth credit evaluation and financial analysis for investment thesis. - Present investment proposals to internal committees and external investors. - Negotiate terms and execute transactions from start to finish. - Build and maintain strong relationships with institutional investors, private credit funds, family offices, and key stakeholders. - Engage with CFOs, treasury heads, and promoters to structure tailored financing solutions. - Maintain an active investor pipeline for deal distribution. - Keep abreast of market trends, credit risk appetite, and investor preferences. - Develop insights on industry trends to identify new opportunities. Qualification Required: - 8 - 12 years of experience in private credit, structured finance, debt syndication, or corporate banking. - Strong understanding of structured credit, securitization, and high-yield debt markets. - Experience in originating and distributing structured debt products to institutional investors. - Proven track record in closing complex transactions, including acquisition financing, LRD, RCF, and other structured instruments. - Strong financial modeling, credit analysis, and negotiation skills. - CA/MBA (Finance) or equivalent qualification preferred. (Note: No additional details about the company were present in the job description.),
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posted 2 weeks ago

Senior Vice President Finance

UNISON INTERNATIONAL CONSULTING (The Recruitment Company)
experience14 to 19 Yrs
location
Delhi
skills
  • IPO Handling Experience
  • Fundraising Expertise
Job Description
As the Finance Head / SVP Finance at a fast-growing, owner-driven real estate organization in Delhi NCR, your role will involve leading the financial strategy, planning, and governance. Your expertise in managing IPO processes, fundraising, capital structuring, and financial controls for large-scale real estate projects will be crucial. **Key Responsibilities:** - Lead end-to-end IPO preparation and execution, coordinating with bankers, legal counsel, and regulatory bodies. - Formulate and drive fundraising strategies (equity, debt, structured finance) to support business expansion and project development. - Oversee financial planning & analysis (FP&A), budgeting, forecasting, and long-term financial modeling. - Ensure strong corporate governance, risk management, compliance, and internal financial controls. - Manage relationships with investors, financial institutions, rating agencies, and regulatory authorities. - Provide strategic financial insights to the promoter/leadership for business decisions, project evaluation, and capital allocation. - Monitor cash flows, working capital, and project financial health across the portfolio. - Lead, mentor, and scale the finance team for high-performance delivery. **Qualifications Required:** - 1419 years of progressive finance leadership experience in real estate (mandatory preference). - Mandatory experience in leading/handling an IPO for a mid or large-scale organization. - Strong track record in fundraising, financial strategy, investor relations, and debt/equity structuring. - CA / MBA Finance from a reputed institution preferred. - Strong stakeholder management skills and ability to work closely with promoters/owners. - High integrity, strategic mindset, and ability to operate in a fast-paced environment. Interested candidates can contact Sonia Malhotra at 9999001893 or email their resumes to sonia.malhotra@unisoninternational.net,
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posted 2 weeks ago
experience3 to 7 Yrs
location
Maharashtra
skills
  • Trade Finance
  • LC
  • BG
  • Financing
  • Structured Products
  • FEMA
  • MS Office
  • PowerPoint
  • Excel
  • Customer Service
  • MIS
  • People Management
  • Import Export docs
  • Supplier Finance
  • RBI Master Directions
Job Description
Role Overview: As a Trade Finance Operations Analyst at Deutsche Bank in Mumbai, you will be responsible for managing various aspects of trade finance operations. Your role will involve handling LC, BG, Import-Export docs, financing, structured products, and supplier finance. You will need to ensure compliance with FEMA & RBI Master Directions while demonstrating strong written and verbal communication skills. Your ability to work under tight timelines, diligence, and proficiency in using MS Office tools will be key in efficiently managing deadlines across multiple products. Additionally, experience in managing and leading trade finance service teams, customer service, devising MIS, and people management will be beneficial. Key Responsibilities: - Manage various aspects of trade finance operations including LC, BG, Import-Export docs, financing, structured products, and supplier finance - Ensure compliance with FEMA & RBI Master Directions - Demonstrate strong written and verbal communication skills - Work under tight timelines and efficiently manage deadlines across multiple products - Utilize excellent skills in using MS Office tools such as PowerPoint and Excel - Experience in managing and leading trade finance service teams will be advantageous - Handle customer service for large corporates and multinational companies - Devise MIS and run initiatives within a complex organizational structure - Gain people management experience Qualifications Required: - Graduate/ Postgraduate/ MBA Finance/ CA with 3-6 years of experience in trade finance roles - Comprehensive knowledge of FEMA & RBI Master Directions - Extremely diligent and hardworking - Proficient in using MS Office tools - Experience in managing and leading trade finance service teams is an added advantage About the Company: Deutsche Bank promotes a culture of empowerment and collaboration where employees are encouraged to excel together every day. The company values responsibility, commercial thinking, initiative, and collaborative work. Training, development, flexible working arrangements, coaching, and a culture of continuous learning are provided to support employee progression. Deutsche Bank Group welcomes applications from all individuals and fosters a positive, fair, and inclusive work environment. Visit the company website for more information: [Deutsche Bank Company Website](https://www.db.com/company/company.htm),
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posted 1 week ago
experience5 to 9 Yrs
location
Maharashtra
skills
  • CFA
  • covenants
  • financial modeling
  • cash flow analysis
  • communication
  • MBA
  • leverage finance structures
  • debt instruments
  • 3statement forecasting
  • credit metric calculations
  • credit writing
Job Description
As an experienced credit analyst, your role will involve independently leading and delivering detailed credit assessments for leveraged and non-investment grade issuers across various sectors. You will be responsible for building and reviewing comprehensive financial models with projections, including scenario and sensitivity analysis. Additionally, you will conduct thorough business and financial risk analysis, which includes evaluating capital structure, liquidity, and covenant assessments. Your key responsibilities will include: - Writing high-quality credit memos, investment recommendations, and risk summaries that meet client standards - Reviewing and quality-checking outputs prepared by junior analysts, such as financial models, draft memos, and data inputs - Providing structured feedback and coaching to junior team members to enhance analytical quality and consistency - Leading case reviews and discussions with onshore stakeholders, clarifying assumptions and credit positioning - Contributing to periodic portfolio monitoring, early warning indicator tracking, and sector-specific deep dives - Working effectively across multiple accounting frameworks, including IFRS and US GAAP In order to excel in this role, you are required to have the following qualifications and skills: - Preferred MBA or CFA qualification - Strong command of leverage finance structures, covenants, and debt instruments - Advanced financial modeling skills with expertise in 3-statement forecasting, cash flow analysis, and credit metric calculations - Excellent credit writing capability, able to distill complex inputs into clear, actionable narratives - Confident communicator with the ability to handle diverse corporate profiles and lead discussions with onshore teams If there are any additional details about the company in the job description, please provide them to further enhance the understanding of the role and the organization.,
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posted 2 months ago
experience6 to 10 Yrs
location
Maharashtra
skills
  • Financial markets
  • Derivatives
  • Legal documentation
  • Analytical skills
  • Communication skills
  • Adaptability
  • Teamwork
  • Documenting structured securities issuance
  • Structured finance transactions
  • Attention to detail
  • Commercial mindset
Job Description
As a Structured Securities Documentation Specialist at BNP Paribas, your role will involve supporting the Structured Securities LEGAL, APAC team in Hong Kong. You will be responsible for various tasks related to structured securities issuance in the international capital markets. Your typical day may include: - Preparing draft documents for securities issuances such as Pricing Supplements and Final Terms based on internal procedures and guidelines. - Supporting internal stakeholders from front, middle, and back office teams throughout the securities issuance process. - Managing legal risks related to securities issuance business in line with CIB LEGAL standards and internal guidelines. - Assisting with any other related matters assigned from time to time. Additionally, you will be expected to demonstrate: - Strong technical knowledge and analytical skills within the Primary Coverage Area. - Ability to review and draft legal documentation in English. - Effective communication with individuals at all levels and from diverse cultures. To succeed in this role, you should: - Take ownership of assigned matters and projects. - Maintain a pro-active and can-do attitude. - Independently progress legal-related assignments and drive them to completion. - Have a commercial-minded, solutions-focused approach. - Be detail-oriented while maintaining perspective. - Be adaptable, intellectually curious, and well-organized. - Manage multiple tasks effectively and work well in a team. - Be fluent in English. Required education/certification/licenses: Prospective candidates should be qualified lawyers with six to ten years of post-graduation experience in a relevant role. Candidates with extensive experience in similar roles and a high level of technical expertise will also be considered.,
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