Looking to employ a young, enterprising and high caliber person in the Treasury Sector, Finance Group of a corporate Power Utility Company.
The job responsibility shall be the following but not limited to; providing assistance in the financial dealings of the company with local and international banks, Forecasting and Planning the future Financial Requirements of the Company through various alternative sources, Expert in Loan Syndication, Consortium Lending and Loan Re-financings, ability to do a credit review and ratio analysis of the company on an ongoing basis, Expert in Project Financing Structures and Structured Finance, interacting with Arrangers, Facility Agents and Lawyers, review and interpretation of Debt Service & Loan Agreement clauses, Sensitivity analysis to test the financial covenants of the loans, Experience in Foreign Exchange Risk, Currency Risk and Liquidity Risk Management, Experience of Debt Capital Markets, assist in the investment activities of the company, prepare cash flow reports and projections, budgeting and forecasting, Credit Ratings Management and experience of the various modeling techniques, provide write-ups and presentation to the management etc.
• Graduate : Graduate in Any Discipline with more than 55% marks
• Masters : MBA Finance or MS in Finance or Fellow from Institute of Chartered Accountants or Management Accountants.
•Above 7 years experience in the corporate banking or any other financial institutions or in Corporate Finance Department of a reputed company. Experience in Debt Syndication, Debt Capital Market and Project Financing is a must.
• Strong leadership skills, Ability to work with a Team, Proficient In Ms-Office, Presentation ability etc.
• SAP experience is an added advantage.