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9 Structured Credit Jobs

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6.0 - 10.0 years

0 Lacs

maharashtra

On-site

As a Senior Associate/Associate Vice President in Investment Banking, you will be required to have an MBA from Top Tier Colleges/CA qualification along with at least 6 years of relevant experience in Investment Banking. Preference will be given to candidates with prior experience in Real Assets, Logistics & Transportation Sector. Your key responsibilities will include covering sectors such as Real Assets, Logistics & Transportation, and Paper & Paper Packaging. The Real Assets sector encompasses residential, commercial, retail, hospitality, industrial warehousing, data centers, and educational infrastructure assets. You will be responsible for deal execution in M&A and capital raising from pitching to deal closure. Leading client interface for deal execution at senior levels, supporting the ideation process within the sector to generate business development ideas, preparing pitch decks, and participating in business development pitches are also key aspects of the role. In addition, you will be mentoring junior/mid-level resources within the team and working jointly for deal execution/origination. Key skills required for this role include strong deal execution skills, the ability to build financial models, create high-quality PowerPoint presentations for pitch books, CIMs, and other client collateral. Prior deal closure experience in Investment Banking (M&A/capital raising) is essential, and any exposure to working on structured credit/mezz financing-related transactions will be an added advantage. Client management skills at senior levels, analytical thinking, diligence, attention to detail, and strong ethics and integrity are also important. On a behavioral level, you are expected to be entrepreneurial, ambitious, a self-starter, and motivated to manage responsibilities independently with supervision and guidance. You should have a strong sense of ethics and integrity, the ability to collaborate across all levels within and outside the organization, and good people management skills with clients and internally.,

Posted 3 weeks ago

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5.0 - 9.0 years

0 Lacs

haryana

On-site

As the Partner - Capital Strategy at Swai Capital, you will play a crucial role in leading the capital raise efforts, starting from 400-500 crores in the first year and scaling up to 2,500 crores by the fifth year. Your responsibilities will include establishing and nurturing relationships with Ultra High Net Worth Individuals (UHNIs), Family Offices, NRIs, and Institutional Allocators. You will be involved in originating and finalizing substantial transactions exceeding 5 crores per investor in structured credit, equity, and customized investment options. Additionally, you will represent Swai Capital at various investor forums, private briefings, and strategic collaborations, shaping the firm's investor acquisition strategy both in India and overseas. Your accomplishments are expected to include securing over 400 crores of committed capital within the first year through a mix of debt, equity, and Special Purpose Vehicles (SPVs). By the end of the second year, you should have developed at least 60 strong relationships with UHNIs and Family Offices, with a repeat investment rate exceeding 50%. You will also be responsible for facilitating exclusive deal syndications with anchor commitments and creating a high-performance investor coverage team that spans across India and Dubai. To excel in this role, you should possess a minimum of 5 years of experience in private banking, wealth management, capital raising, or alternative investments. A successful track record of closing investments worth over 250 crores is essential, along with a well-established network of UHNIs, CXOs, and Family Office decision-makers. In-depth knowledge of structured credit, private equity, and real estate investments is a prerequisite. Your personality traits should include being charismatic, persuasive, and relentless in achieving desired outcomes. Joining Swai Capital offers you the opportunity to have a partner-level influence in a rapidly growing, founder-led investment platform. You will gain access to exclusive deals with superior risk mitigation strategies and be eligible for a generous profit-share/carry on deals that you help close.,

Posted 1 month ago

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8.0 - 12.0 years

0 Lacs

maharashtra

On-site

You will be suitable for the role of Vice President Structured Finance Sales/Syndication based in Mumbai with a leading Indian financial services firm known for its expertise in structured credit, disciplined risk management, and long-term investor trust. Your responsibilities will include identifying and originating structured financing opportunities, syndicating structured debt deals, structuring innovative financing solutions, and managing relationships with institutional investors and clients. Additionally, you will need to stay updated on market trends and develop insights to drive new opportunities. Key Responsibilities: - Identify and originate structured financing opportunities in the wholesale lending space, focusing on secured transactions. - Syndicate structured debt deals to offshore funds, AIFs, NBFCs, banks, and wealth platforms. - Develop and execute syndication strategies for successful placement of transactions. - Structure innovative financing solutions to meet borrower and investor requirements. - Conduct thorough credit evaluation and financial analysis for investment thesis. - Present investment proposals to internal committees and external investors, and negotiate terms. - Build and maintain strong relationships with institutional investors, private credit funds, family offices, and key stakeholders. - Engage with CFOs, treasury heads, and promoters for tailored financing solutions. - Maintain an active investor pipeline for deal distribution. - Keep track of market trends, credit risk appetite, and investor preferences. - Develop insights on industry trends to drive new opportunities. Key Qualifications & Experience: - 8-12 years of experience in private credit, structured finance, debt syndication, or corporate banking. - Strong understanding of structured credit, securitization, and high-yield debt markets. - Experience in originating and distributing structured debt products to institutional investors. - Proven track record in closing complex transactions like acquisition financing, LRD, RCF, and other structured instruments. - Strong financial modeling, credit analysis, and negotiation skills. - CA/MBA (Finance) or equivalent qualification preferred. Preferred Attributes: - Established relationships with private credit funds, banks, AIFs, and NBFCs. - Strong understanding of RBI regulations and credit risk frameworks. - Excellent communication and deal-making abilities.,

Posted 1 month ago

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13.0 - 17.0 years

0 Lacs

maharashtra

On-site

The Senior Vice President position within the Structured Credit and Real Estate Underwriting (SCREU) team plays a crucial role in managing a multi-billion dollar portfolio of asset securitization transactions, focusing primarily on ABS and CLO asset classes such as auto, credit card, unsecured consumer loans, middle market, private credit, and broadly syndicated loans. As a senior leader, you will be responsible for overseeing a team of Analysts and Associates, guiding their work, ensuring quality, timely delivery, and analytical rigor. You will collaborate with Origination, other Institutional Credit Management teams, and Independent Risk, conduct credit reviews, and monitor the portfolio for credit migration. Effective communication and diplomacy skills are essential for mentoring juniors and maintaining high-quality work standards. Responsibilities: - Accountable for ensuring robust analysis of the SCREU portfolio, aligning with industry best practices and internal risk policies - Support bankers in underwriting commercial credit extensions, making sound credit decisions, and ensuring compliance with internal procedures and credit risk policies - Supervise analysts and associates in periodic portfolio monitoring - Maintain organized credit files for compliance purposes and ensure accuracy and completeness of input in approval memos - Monitor compliance of deals with financing terms, portfolio performance, and financial triggers, recommending actions to mitigate credit risks - Provide ongoing feedback and coaching to junior team members, fostering a strong credit culture and commitment to excellence - Support Director and senior team members, lead projects and initiatives within the team - Stay updated on industry trends and market events Qualification and Experience: - 13+ years of credit, portfolio management, or product experience, preferably in structured finance/securitization - Experience in leading teams and mentoring junior bankers - Strong organizational skills, attention to detail, and ability to work efficiently in a fast-paced environment - Pro-active with the ability to work independently and collaboratively - Proficient in analyzing complex issues and balancing conflicting needs - Knowledge of wholesale loan products, including legal documentation, deal structure, and funding mechanics - Strong Microsoft Office skills, modeling experience is a plus - Excellent oral and written communication skills for effective interaction with internal and external stakeholders - Adherence to quality control and assurance standards - MBA, CFA, or CA qualification Citi is an equal opportunity employer and encourages qualified individuals to apply for career opportunities. If you require accommodation due to a disability, please review Accessibility at Citi.,

Posted 1 month ago

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3.0 - 7.0 years

0 Lacs

maharashtra

On-site

As a Senior Analyst in Structured Credit, Asset Finance and Leasing at Deutsche Bank in Mumbai, India, you will be part of the Asset Finance and Leasing team that provides tailored non-flow financing solutions for clients in the Transportation, Infrastructure, and Energy sectors. Your role will involve analyzing new deals, conducting due diligence, preparing financial documents, and supporting the APAC region in various aspects of deal execution. You will have the opportunity to enjoy a comprehensive benefits package that includes a best-in-class leave policy, gender-neutral parental leaves, childcare assistance benefits, sponsorship for industry certifications, and insurance coverage for you and your dependents. Additionally, you will have access to an Employee Assistance Program and health screening benefits. Your responsibilities will include preparing financial documents, conducting detailed financial analysis and due diligence, interacting with various stakeholders, and supporting portfolio management post-trade close. You will be expected to have a strong academic background, preferably from a top-tier business school, and possess a good understanding of credit analysis, financial markets, and cash flow modeling. Excellent analytical, problem-solving, and communication skills are essential for this role. At Deutsche Bank, you will receive training and development opportunities, coaching from experts in your team, and a culture of continuous learning to support your career progression. The company values collaboration, responsibility, and initiative, and strives to create a positive and inclusive work environment for all employees. If you are a self-motivated individual with the ability to work well in a team, thrive in a fast-paced environment, and are eager to excel in the field of structured credit and asset finance, we encourage you to apply and become part of the Deutsche Bank Group.,

Posted 2 months ago

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3.0 - 5.0 years

3 - 5 Lacs

Mumbai, Maharashtra, India

On-site

The successful candidate will be part of FIG s India Investment Team and will have strong analytical and quantitative skills and an ability to work collaboratively with a wide range of teams and stakeholders. Work within the FIG India Team and contribute to the client service process to ensure a superior level of service and quality for both internal and external stakeholders Work alongside the asset-backed securities (ABS), collateralized loan obligation (CLO), commercial mortgage-backed securities (CMBS), and agency and non-agency residential mortgage-backed securities (RMBS) sectors to learn about the different aspects of each market, and contribute to internal and external client deliverables and sector updates Provide qualitative and analytical support to PMs, analyzing macroeconomic and industry trends and their impact on the market and client holdings Organize and prepare materials related to new investments and existing holdings, including investment committee presentations and ongoing surveillance documentation Publish periodic sector updates and daily market information, as well as ad hoc client and internal presentations Collaborate with Global FIG PM Teams to develop, implement and maintain best practices for market and portfolio-based commentary requests from clients Apply technology and analytical tools to improve investment and client service processes and create scale Actively participate in investment training to be a student of the markets and become an integral part of the investment team Qualifications: The ideal candidate will possess the below experience and skills. Fixed income background required, 3-5 years of fixed income and knowledge of Securitized Assets / Structured Credit experience Bachelor s Degree or equivalent with strong quantitative skills. MBA/MS and/or CFA preferred Rating agency experience or Insurance industry specific knowledge a plus Skills and Experience Excellent communication and interpersonal skills Proven experience working both independently and as part of a team in a highly collaborative, global environment Demonstrate outstanding attention to detail and have a passion for thinking critically about financial markets and a desire to further investment knowledge Understanding of and dedication to encouraging an inclusive, diverse, and equitable culture Flexible, responsive, and self-starting personality Strong knowledge of Microsoft Office suite (Excel, PowerPoint, Word), Bloomberg Technical skills such as Python, Matlab, Tableau and SQL a plus We are looking for people who are: Curious: You like to learn new things and have a balanced disrespect for status quo Brave: You are happiest outside your comfort zone Passionate: You feel personal ownership for the work you do and an aspiration to be better Open: You value and respect input from others Experimental: You make mistakes, but learn from them Savvy: You want to outsmart the problem

Posted 3 months ago

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1.0 - 6.0 years

7 - 15 Lacs

Pune

Work from Office

Credit Analyst Structured Finance Summary : An opportunity to work with a global analytics team supporting Structured Finance transactions (RMBS, ABS, CLOs, etc.) across EMEA and US regions. This role involves complex cash-flow modeling, transaction analysis, and supporting credit rating processes. Location : Pune, India Your Future Employer : A globally recognized leader in credit ratings and analytics, offering in-depth insights and decision-making support to clients worldwide. Responsibilities : Assist global analysts in analyzing and modeling Structured Finance transactions using tools like IMAKE, Intex, and Cashflow Evaluator. Build and maintain cash-flow models by interpreting Offering Circulars, Indentures, and Term Sheets. Script payment waterfalls and run scenario tests to validate legal and structural integrity. Troubleshoot model issues and ensure alignment with investor reports and servicer data. Stay updated with market developments and contribute to documentation, process enhancement, and analyst support. Requirements : 1–2 years of experience in Structured Finance (RMBS/ABS/CLOs preferred). MBA/PGDM in Finance or equivalent; CFA/FRM is an added advantage. Proficiency in financial modeling, scripting, and analytical tools. Strong communication skills with an eye for detail. Team player with the ability to work independently and meet tight deadlines. What is in it for you : Work on high-impact international deals and transactions. Opportunity to grow in a niche finance domain. Be part of a global analyst network. Continuous learning and development through global exposure. A collaborative and process-driven work environment. Reach us – If you feel this opportunity is well aligned with your career progression plans, please feel free to reach out to me with your updated profile at radhika.agrawal@crescendogroup.in Disclaimer – Crescendo Global is specializes in Senior to C-level niche recruitment. We are passionate about empowering job seekers and employers with an engaging memorable job search and leadership hiring experience. Crescendo Global does not discriminate on the basis of race, religion, color, origin, gender, sexual orientation, age, marital status, veteran status, or disability status. Note – We receive a lot of applications on a daily basis, so it becomes a bit difficult for us to get back to each candidate. Please assume that your profile has not been shortlisted in case you don't hear back from us in 1 week. Your patience is highly appreciated. Scammers can misuse Crescendo Global’s name for fake job offers. We never ask for money, purchases, or system upgrades. Verify all opportunities at www.crescendo-global.com and report fraud immediately. Stay alert! Profile Keywords : Crescendo Global, Jobs in Pune, Jobs for Credit Analyst, Structured Finance Jobs, RMBS, ABS, CLO Analyst, Cashflow Modeling, CFA Jobs, Financial Modeling, Securitization Jobs, Credit Research Jobs

Posted 3 months ago

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5.0 - 10.0 years

32 - 47 Lacs

Mumbai

Hybrid

Sumitomo Mitsui Banking Corporation Autonomously lead and manage deal teams assigned to handle transactions’ full execution cycle, including: Review and preliminary assessment of new financing opportunities Deal structuring and preparation of term sheets Conduct of due diligence / financial modelling Assist execution team in running internal credit process including preparation or review of internal discussion papers, credit applications, Q&A etc Assist execution team in negotiating and reviewing loan documentations Coordinate KYC and internal ancillary processes Running internal grading and pricing simulations Preparation of deal memos for seeking internal management sign-off. All aspects of administration & execution of transactions until drawdown Engage in designing and establishing new product initiatives as needed Ensure and promote a disciplined approach to all internal compliance requirements and applicable local regulations Support other strategic initiatives and perform other tasks as required/defined from time to time Experience & Qualification: CA/MBA from tier 1 universities 5-8 years in execution of Structured Finance transactions Structured credit and private credit experience is a must Should have exposure to Structured Credit and Acquisition & Leverage Finance Strong Proficiency in financial modeling, presentations, and client interactions Knowledge of legal documentation (preferred) Good written and verbal communications skills Sumitomo Mitsui Banking Corporation’s Specialised Products Department, Asia (SPDA) team is looking to hire an AVP with 5-8 years’ experience who will be responsible for executing along with supporting origination of Real Estate, Structured Credit and Sponsor Financing transactions in India

Posted 3 months ago

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1.0 - 6.0 years

9 - 18 Lacs

bengaluru, mumbai (all areas)

Work from Office

Designation - Business Analyst Location - Bangalore/ Mumbai Product handled - Construction Finance / Real Estate Qualification - Qualified CA / MBA Finance Role & responsibilities 1. Credit Analysis Analyze and evaluate the proposed transactions including Borrower background, enterprise information, project / security information, cash flow analysis, feasibility analysis, sensitivity analysis, Debt Profile evaluation, Group level cash flow evaluation, financial evaluation. Liaison with internal stakeholders viz. Risk, Legal, Technical, Finance, Accounts and Operations Liaison with external agencies for due diligences legal, technical, valuation, financial diligence, etc. Ensure Security Cover, Receivables Cover, exit calculations, Shortfall calculations, Portfolio Review 2. Note Preparation Preparing Credit Assessment Memo for transactions Review and signoff of the Credit Assessment Memo from all the stakeholders including Risk and Senior Management. Issuance of sanction Letter to the customer as per the note prepared and sign-off provided. Initiate framework for Post disbursement monitoring activities Initiate framework managing Security Cover, Receivables Cover, exit calculations, Shortfall calculations, Portfolio Review 3. Case Documentation Prepare and execute Pre & Post transaction documentation Co-ordinate with customer for information and documentation from login to post disbursement Carrying out Post disbursement monitoring activities Ensuring compliance of statutory compliances, Internal and External Audits, ROC Charge creation and satisfaction, internal policies and procedures Carrying out post closure formalities 4 Quality Compliance Processing of Escrow fund transfers on daily basis Processing of NOC requests on daily basis Collection, evaluation and follow up with internal / external environment for following activities:

Posted Date not available

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