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Job Location | Mumbai City |
Education | Not Mentioned |
Salary | Not Disclosed |
Industry | Banking / Financial Services |
Functional Area | Finance / Accounts / Tax,Sales / BD |
EmploymentType | Full-time |
The Associate position is in the WCR South Asia Credit Risk team primarily covering Indian corporate clients across a broad range of industries. The role is based in Mumbai.The WCR team works closely with business partners across the region in J.P. Morgans Corporate & Investment Bank (CIB) and Commercial Bank (CB). Business Partners include Global Corporate Bank (GCB), Debt Capital Markets, M&A, Markets, Treasury Services and Trade Finance. Given the broad sector and client base covered, the team is focused on performing credit analysis on clients as well as structuring and documenting a wide variety of credit products.Key products include :- Acquisition debt financings and Leveraged buy outs;- Bonds (and bridges thereto);- Syndicated and bilateral loans;- Corporate derivatives (e.g. FX, interest rate, commodities etc);- Trade finance including LCs, BGs, supply chain finance;- Treasury service products including cash management.- Working capital productsRole and responsibilities :- Strong credit and transaction management skills. The candidate would be expected to lead in-depth due diligence processes and to coordinate and produce concise and insightful credit memos with clear recommendations, which will be the basis on which credit decisions are made. Work with senior credit officers on complex credit and independently, cover part of credit portfolio.- Excellent financial modeling skills.- Familiarity with, and an understanding of, loan documentation, including LMA standard and leveraged finance documents and key ISDA/CSA documentation.- Close working relationships with a variety of areas within the CIB/CB including Coverage/GCB product specialists (DCM, Trade, TSS), Markets (Derivative Sales), Capital Markets and M&A.- Prime responsibility for the pro-active management of exposure to a portfolio of names and industry sectors.- Understanding of banking and risk policies and related interactions with various stakeholders (including regulators and auditors).- Actively contribute in legal entity matters concerning Credit risk deliverables- Coaching and development of junior team members, both on the job and through trainings.Qualifications :- MBA from Top Tier B-School or professional qualification in AccountancySkills and Experience :- 6 years relevant credit risk management experience. Experience in covering credit risk for corporations is preferred- Ability to understand and analyze financial statements including ratio analysis, accounting standards and financial adjustments.- Must demonstrate first rate analytical and credit skills/judgement and have a - hands on- approach leading to due diligence on credit and structural matters- Previous experience of reviewing and commenting on loan documentation/core corporate derivative documentation- Be able to establish credibility and trust with clients, business partners, and credit officers, and to partner with them effectively.- Strong communication (oral and written) and interpersonal skills- Ability to work proactively & independently as well as part of a team- Deadline orientation; organized and responsible; high attention-to-detail- Proficient in the use of MS Word, Excel and Power Point,
Keyskills :
trade financecredit analysisrisk managementcredit risk managementratio analysisdue diligencemusic makingfixed income derivativessouth asiasupply chaincredit risk