0 - 2 years
11 - 13 Lacs
Posted:1 day ago|
Platform:
Work from Office
Full Time
Minimum 1 years Type: Full time (work from office) Location: Nariman Point, Mumbai
Key Responsibilities: Building and maintaining strong relationships with banks, financial
institutions, co-lending partners, investors, and other external stakeholders Source funds
through diverse debt instruments, including securitization (PTC/DA), term loans, debentures
(NCDs), commercial papers (CPs), and working capital lines (WCDL/CC) etc. Preparing loan
proposals and CMA (Credit Monitoring Arrangement) data for Term Loan, ECBs, NCDs, Tier-II
Capital, CPs, Direct Assignment/PTC, and other instruments Screening of borrowing
documentation including term sheets, covenant review, negotiation of commercials,
security structure, and other terms prior to fund raising Lead and support financial
evaluation of potential portfolio/company acquisition opportunities Conduct and
coordinate financial, tax, legal, and operational due diligence in collaboration with external
advisors and internal teams Prepare and analyse valuation models, financial statements,
and deal structuring options (asset sale, share purchase, slump sale) Work closely with
management and legal team to draft, review, and finalize definitive agreements (term
sheet, business transfer agreement, etc.) Monitor and track post-acquisition integration
activities including asset transfer, liability mapping, reconciliation, and regulatory filings
Coordinate with RBI, auditors, and consultants for compliance and approval process for transactions Handling co-lending operations including partner onboarding,
agreement execution, fund settlement coordination, interest/principal reconciliation, and
MIS/reporting Prepare ALCO (Asset Liability Committee) minutes and coordinate inputs
across treasury, risk and finance teams for ALM discussions Develop and present Board-
level presentations covering fund position, borrowing status, and other strategic
recommendations Support management in onboarding new products or funding
structures, including initial analysis, lender presentations, and documentation
Coordinating with lenders for due diligence and ensuring timely, precise information sharing
Liaising with credit rating agencies and external valuators for periodic rating reviews and
documentation Assess liquidity positions, monitor ALM statements, and initiate
borrowings aligned with company strategies Periodic reporting (Monthly/Quarterly/Half-
Yearly/Annual) to investors, lenders, rating agencies, and senior management Acting as a
central coordination point between treasury, accounts, and senior management Effective
execution of all month end and treasury related activities as per organisation requirement
Driving automation initiatives within treasury operations to improve process efficiency
Qualifications: CA with Article ship in BIG 4 companies Only (OR) Min 1+ years of experience with Mid-sized CA Firms with thorough understanding of Financial Statements for handling treasury as well as Acquisitions work
Personality Traits: Proactive, well-presented professional with strong communication,
financial analysis, and Excel skills; detail-oriented, deadline-driven, and able to multi-task
effectively under pressure
The Firm P
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