Corporate Finance & Planning

Department Icon Corporate Finance
116+ Applicants
Posted: 1 year ago
2-5 years
Delhi, Delhi
Work from Office

Posted: 1 year ago
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Applicants: 116+
Job Description
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Job Description

Responsibilities

Develop financial model along with business teams across the Group in order to raise

capital for the business with a focus on credit assessment

Analysis of financial statements (cash flow, B/S, P&L), cash flow projections, EBITDA,

sensitivity analysis etc.

Analyse and discuss financial model independently with prospective lenders, TEV

agencies, rating agencies, investors and internal business teams.

Prepare presentation for the ongoing capital raise transactions for internal and external

stakeholders

Support seniors in interaction with banks/FIs/funds/law firms/technical experts for

due diligence, documentation in capital raising endeavours.

Coordinate treasury operations e.g. payments and debt servicing requirements etc

Willing to work on short term assignment across locations including overseas locations

Skills Required

Strong knowledge of financial statement analysis, general accounting, cash-flows,

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financial ratios, etc.

Understanding of banks credit policies, RBI guidelines and guidelines specific to NBFC.

Having worked as credit analyst in banks, NBFCs, FIs in mid to large corporate teams

will be an advantage and/or working in debt raising teams at any mid/large corporate

Having worked on Debt (200 Cr) or Equity raise would be an advantage

Not looking at candidates worked in unsecured business loans, mortgages etc

Education:- CA (1 st attempt preferred) and/or MBA Finance (Top Colleges)

Experience 2 to 5 years

Skills

AccountingCash FlowFinancial StatementFinancial StatementsGeneral AccountingTransactionsCaFinanceCash

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Important dates & deadlines?

Application Deadline

20 Feb 25, 11:57 AM IST

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Corporate Finance & Planning

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