Job Description
We are looking for a highly skilled and resourceful candidate to join our Private Credit-Asset Management team within the Financial Research group, based in Bengaluru, Gurugram, or Hyderabad. Supporting Asset Managers across the US and Europe, the team plays a pivotal role by managing post-trade deal lifecycles, overseeing varied portfolios, and driving performance through risk management and strategic analysis.
On a day-to-day basis, you will oversee deal onboarding into proprietary platforms and develop comprehensive end-to-end reporting frameworks. You will review borrower business models, cash flow forecasts, debt capacity, and collateral, as well as perform detailed cash flow and financial modeling, including ROI, IRR, and discounted cash flow analysis. The role requires participating in meetings with borrowers and calls with lenders and stakeholders. You will develop cash management strategies for future funding needs; oversee capital allocation and funding processes; monitor and analyze company developments, competitor actions, and industry trends to guide strategic decisions; and monitor investments, track covenant compliance, and help develop asset exit strategies. A critical function will be to identify and escalate early signs of asset distress or underperformance and lead restructuring, amendment, or workout processes for distressed assets. You will also assist with valuations, portfolio reviews, and business plan deviation analysis on monthly, quarterly, and annual cycles.