Min. 12-15 years of experience in Structured Finance
Origination of Structured Finance deals through direct client meetings and identifying opportunities working alongside relationship teams in existing clients.
Ideating and structuring the transaction and leading negotiations of terms with client.
Should be able to coordinate execution, identify key issues, and work across asset groups.
Support analyst team in transaction appraisal & execution, including preparation of detailed credit appraisal of transactions, preparing financial model, project evaluation, industry analysis, risk assessment & mitigation, financial analysis, sensitivity analysis, preparation of transaction documents and conducting site-visits.
Present investment proposals before the Credit Committee/Senior Management, substantiating analysis and merits of the transactions.
Support the team members in legal documentation, execution of legal agreements, KYC checks & compliance, disbursement, and coordination between the customer, legal, operations, internal audit, accounts and treasury teams.
Post Disbursement Portfolio Monitoring including collection monitoring, project tracking, managing account formalities and responding to credit events.