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Deputy Vice President - Risk - Corporate Finance - Mumbai - Lower Parel

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  • Posted 17 hours ago
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Job Description

Job Description

Risk Evaluation of the proposals

  • Understand structure of the transaction and identify key risk and mitigants.
  • Analyse group financial strength and weakness
  • Having deep understanding of various industries
  • Experience in managing various structure products like NCD, PTC, Promoter level funding, Sub Debt/PDI etc
  • Dealing with senior professional of large/Mid corporate client and maintain relationship
  • Providing inputs to business team to ensure that transaction structure is strong and also help them in initial go /no go on the structure

Portfolio Monitoring

  • Identification of Early warning signals to earmark stress accounts and initiation of exit from stress accounts
  • Proactive monitoring of portfolio for control over credit costs.
  • Portfolio level reviews

Policy Formulation

  • Drafting of credit and risk policy for corporate finance. Work closely with business and credit for finalization of policies.

Credit Program Development:

  • Engage in the development, implementation, review, and monitoring of various credit programs to support business growth.
  • Participate actively in adoption of digital processes and automation.
  • Provide guidance to the team and ensure the quality of the portfolio.

Compliance:

  • Ensure strict compliance with all audit, regulatory, and company regulations, processes, policies, and reporting systems.
  • To ensure that all the audit queries are resolved in time with proper justification.
  • Collaborate closely with Senior Risk Analyst to execute risk management strategies effectively.
  • Focus primarily on execution rather than planning, ensuring timely implementation of risk mitigation measures.
  • Conduct industry-level analysis to support decision-making and enhance risk management frameworks.

Qualifications & Experience

  • Minimum Degree: MBA/PGDBA/PGPM/ CA or Equivalent
  • Desired Years of experience: 8 to 10 years

More Info

About Company

Tata Asset Management Limited (TAM) is the Investment Manager to Tata Mutual Fund. Our origin stems from a much respected and internationally acclaimed industrial house &#8211&#x3B; the Tata Group &#8211&#x3B; whose business philosophy has made our country and its people partners in the wealth creation process. Our heritage invokes "trust" among consumers, employees, shareholders and the community alike. Though a great heritage is obviously something to cherish, we also seek to carry that legacy through a set of well defined and time tested globally accepted business practices. Being part of the Tata group, we are well known for our strong adherence to highest standards of ethics and fairness in all our business dealings.
TAM manages funds across the entire risk-return continuum. These include equity funds, balanced funds and debt & money market oriented funds. The company provides investment management, risk management and advisory services to institutional, intermediary and individual investors.

Job ID: 149323843