Website:
peerlessone.in
Job details:
Role Overview
The candidate will be responsible for managing and deploying the Company’s funds across debt instruments in line with the approved Investment Policy Statement (IPS). The role will also lead credit risk management, periodic portfolio reviews, fund-raising from banks/FIs, and act as the primary interface with credit rating agencies.
Key Responsibilities
Debt Investment Management
- Manage investments across bonds, debentures, money market instruments and mutual funds, strictly as per the IPS.
- Evaluate opportunities with focus on yield optimization, liquidity and credit quality.
Credit Risk & Portfolio Review
- Implement a robust risk management framework for debt investments.
- Conduct quarterly and annual credit reviews of invested papers, including financials, covenants, ratings and sector risks.
- Identify early warning signals and recommend exits or exposure adjustments where required.
Fund Raising & Liability Management
- Lead and support fund-raising from banks and financial institutions.
- Negotiate borrowing terms, pricing, tenure and covenants.
- Maintain lender relationships and ensure covenant compliance and reporting.
Rating Agency & Stakeholder Coordination
- Coordinate rating reviews, information flow, management interactions and presentations.
- Track rating sensitivities and key risk drivers.
Qualifications & Experience
CA / MBA (Finance) / CFA or equivalent.
8-12 years of experience in debt markets, treasury, credit or fixed income portfolio management.
Prior experience in NBFC / large corporate treasury / institutional setup preferred.
Strong exposure to banks, FIs and credit rating agencies.
Click on Apply to know more.