Job Description
Roles and Responsibilities
1. Handling complete backend bond dealing work like preparing and analysis of various treasury reports, managing cash flows etc.
2. Preparation & maintenance of Investment performance sheet and analyzing the scope of improvement & further risk assessment post investment.
3. Assessment of Mutual Funds
4. Assessing credit risk, promoter group background, analysis of financial statements and underlying asset analysis for investment in fixed income securities of companies
5. Drafting of Information memorandum about the investment opportunities available in the fixed income as well as equity segment for perusal of the managemen team
6. Managing day to day accounting of all treasury related work
Desired Candidate Profile
Proficiency is Ms Excel, understanding of reading financials and accounting of the company, Proactive and eager to learn new things