Overview

– Someone working in treasury department of a Company investing in Debt products or someone in NBFC doing credit rating. Also, passionate to understand macro-economics and impact on the market.

– Analyse debt products (tax free bonds, debt MFs, Direct bonds, group exposures) and ensure 0% credit loss.

– Continuous monitoring of the existing portfolio and timely action in case of any default in any basket.

– Analyse high yield credit funds, third party loan exposures. Actively monitor and manage risks.

– Analyse alternates in the portfolio and opportunities in the market. Prepare thesis for the same.

– Someone working in treasury department of a Company investing in Debt products or someone in NBFC doing credit rating. Also, passionate to understand macro-economics and impact on the market.

– Analyse debt products (tax free bonds, debt MFs, Direct bonds, group exposures) and ensure 0% credit loss.

– Continuous monitoring of the existing portfolio and timely action in case of any default in any basket.

– Analyse high yield credit funds, third party loan exposures. Actively monitor and manage risks.

– Analyse alternates in the portfolio and opportunities in the market. Prepare thesis for the same.