Job
Description
Role Overview: As a detail-oriented finance professional, you will be responsible for managing corporate finance operations, debt servicing, and regulatory compliance. You will play a key role in coordinating with lending institutions, managing financial documentation, and ensuring the timely execution of lender compliance requirements. Additionally, you will collaborate effectively with cross-functional teams to support financial planning, reporting, and control processes. Key Responsibilities: - Ensure post-disbursement lender compliance for new project financing. - Manage relationships with lending institutions, including preparation for bank credit reviews and ongoing lender compliance requirements. - Handle documentation and regulatory compliance for loans, External Commercial Borrowings (ECBs), and equity transactions. - Prepare monthly and quarterly rolling budgets for debt servicing, lender fees, and related financial obligations in coordination with internal teams. - Support the preparation and analysis of MIS presentations for corporate finance and treasury, including summaries of debt positions, finance costs, fund monitoring, and utilization of fund and non-fund-based limits. - Coordinate cross-functional team meetings, including agenda setting, presentation support, logistics, and drafting of meeting minutes. - Manage SAP-related activities, such as PR and SRN preparation for invoices related to corporate finance, including lender, agent, and rating agency fees. - Support credit rating compliance and coordinate with rating agencies for timely submissions and updates. - Support internal group memo and group coordination. Qualifications: - CA or MBA (Finance) - 2-3 years of relevant experience in corporate finance, treasury, or financial services Please note that the additional details of the company were not included in the provided job description. Role Overview: As a detail-oriented finance professional, you will be responsible for managing corporate finance operations, debt servicing, and regulatory compliance. You will play a key role in coordinating with lending institutions, managing financial documentation, and ensuring the timely execution of lender compliance requirements. Additionally, you will collaborate effectively with cross-functional teams to support financial planning, reporting, and control processes. Key Responsibilities: - Ensure post-disbursement lender compliance for new project financing. - Manage relationships with lending institutions, including preparation for bank credit reviews and ongoing lender compliance requirements. - Handle documentation and regulatory compliance for loans, External Commercial Borrowings (ECBs), and equity transactions. - Prepare monthly and quarterly rolling budgets for debt servicing, lender fees, and related financial obligations in coordination with internal teams. - Support the preparation and analysis of MIS presentations for corporate finance and treasury, including summaries of debt positions, finance costs, fund monitoring, and utilization of fund and non-fund-based limits. - Coordinate cross-functional team meetings, including agenda setting, presentation support, logistics, and drafting of meeting minutes. - Manage SAP-related activities, such as PR and SRN preparation for invoices related to corporate finance, including lender, agent, and rating agency fees. - Support credit rating compliance and coordinate with rating agencies for timely submissions and updates. - Support internal group memo and group coordination. Qualifications: - CA or MBA (Finance) - 2-3 years of relevant experience in corporate finance, treasury, or financial services Please note that the additional details of the company were not included in the provided job description.