Senior Manager - Credit Risk & Portfolio Monitoring
Job Description
:
The incumbent will be part of the Risk and Monitoring team, responsible for pre-deal Credit Risk diligence and post-deal Portfolio Monitoring across asset classes, including Corporates, Real Estate, and Sponsor Finance.
Pre-deal credit evaluation :
- As part of the Risk team, carry out detailed credit due diligence for deal evaluation and close coordination with the Underwriting team.
- Review and analyse finding of various Due Diligence reports (Financial Due Diligence, Commercial Due diligence, Legal opinions etc) where applicable.
- Based on the Financial model submitted by the Underwriting team, carry out review and prepare scenario analysis including unit economics, projections, cash flow analysis, ratio analysis etc.
- Compile and analyse relevant data on the sector, competitors, etc with implications on financial model.
- Prepare and articulate Risk recommendation advice as part of submissions to the Investment Committee, articulating insights gained from such analysis.
Portfolio monitoring & Other requirements :
- Track ongoing performance of portfolio companies, including regularly updating financial performance, industry trends, adverse news, repayment status.
- Track covenant due dates, conditions subsequent due dates, hedge monitoring, follow up for compliance and escalate appropriately.
- Flag early warning signals and recommend appropriate risk mitigation strategies.
- Conduct Portfolio Review and meet Annual review requirements of deals in a timely manner.
- Provide portfolio performance inputs during preparation of investor newsletters, valuation reports, audit related actionables.
- Prepare and circulate Risk dashboards for portfolio analytics, improvements such as Policies/ Process notes etc.
- Leverage AI/technology to improve productivity.
- Ad hoc projects, policy formulation, IRB related data governance sanity etc.
Core skills and knowledge :
- Strong experience in credit risk of domestic mid/large corporates.
- Self-starter and able to take responsibility with a proactive approach to daily tasks.
- Works closely with investment and risk teams, fostering a collaborative environment to drive results and share expertise across the business.
- Strong knowledge of financial management or modelling and understanding of financial regulations, proficiency in Excel, PowerPoint, dashboard tools, and portfolio management systems.
- Meticulous attention to detail in preparing reports and managing financial information & exceptional verbal and written communication skills, with the ability to present complex information clearly and concisely.
Skills
Credit RiskCredit AppraisalDue DiligenceFinancial ModelingRisk ManagementComplianceRisk MitigationCredit RiskIf a job posting appears fraudulent, asks for payment, contains misleading information, or violates our guidelines, please report it immediately. Our team will review it promptly, Jobaaj does not charge any fee from the applicants.
About Company
Important dates & deadlines?
Application Deadline
24 Oct 26, 03:02 PM IST
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