Well versed with process related to issuance & redemption CP, NCD & MLDs (listed and unlisted) including drafting/ reviewing documents, coordinating with counterparties like IPA, DT, depositories & RTA
Ensuring timely completion within set turnaround times Ensuring adherence to regulations
maintaining security for these borrowing instruments, PAS 3 filing, corporate action & listing. Vetting & execution of documentation for credit facilities with banks & NBFC & facilitation of charge creation for securities pledged with lenders Covenant monitoring (i.e. co-ordination with various stakeholders for preparation of data to be provided to lenders on timely basis) for all facilities with banks & NBFCs Co-ordination with Rating agencies & internal stakeholders Allocation of income & cost to various businesses Identify opportunities for process automation and implementation
Job Requirements :
4-12 years of experience in banking or finance industry.
Strong understanding of cash flow forecasting, treasury operations, and middle office processes.
Proficiency in MS Office applications (Excel) is required; knowledge of other software such as [insert specific software] is an asset.
Job Classification
Industry: InternetFunctional Area / Department: BFSI, Investments & TradingRole Category: BFSI, Investments & Trading - OtherRole: BFSI, Investments & Trading - OtherEmployement Type: Full time