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Job summary
A financial consultancy firm in Mumbai seeks a financial analyst to monitor financial covenants, analyze profitability, and optimize capital structures. The candidate should have experience in financial proposals and strong quantitative skills. This role involves significant responsibilities, including preparing management reports and leading a team. Competitive compensation and professional growth opportunities are offered.
Qualifications
Experience in analysing financial proposals or in fund-raising transactions.
Understanding of financial markets and capital issuance process.
Ability to analyse balance sheet and financial performance documentation.
Understanding of loan documents and offer documents.
Strong quantitative and analytical skills.
Good oral and written communication skills.
Ability to deal with tight project deadlines with multiple intermediaries and volatile capital markets.
Ability to motivate and lead a team.
Responsibilities
Ensure design and implementation of monitoring systems.
Oversee design of financial models for profitability analysis.
Assess liquidity and negotiate better banking terms.
Optimize debt and working capital structures.
Monitor banking operations for efficiency.
Prepare monthly MIS for management.
Mentor and coach subordinates.
Prepare monthly MIS and reporting for senior management.
Mentor and coach subordinates to build a strong succession pipeline.
Skills
Experience in analysing financial proposals
Understanding of financial markets
Ability to analyse balance sheet
Understanding of loan documents
Strong quantitative skills
Good communication skills
Ability to deal with project deadlines
Ability to lead a team
Job description
Responsibilities
Ensure design and implementation of systems and processes to monitor and analyze financial covenants across TS Group, lead improvements in financing agreements, secure finance from new sources, diversify capital raising and structuring opportunities, and present it to senior management for further action.
Oversee the design of financial models for the overall Group as well as entity-level profitability analysis.
Assess liquidity of the business on a regular basis and negotiate better terms with banks to optimize utilization of available cash and provide flexibility to the business.
Optimize debt and working capital funding structures for minimum interest cost to the business.
Monitor banking operations to ensure timely completion of procedures and process efficiency resulting in minimal operating costs and business ease.
Ensure preparation of monthly MIS and reporting for senior management.
Mentor and coach subordinates to develop the teams’ capabilities and build a strong succession pipeline for the role.
Skills
Experience in analysing financial proposals or in fund-raising transactions, fund-based and/or non-fund-based.
Understanding of financial markets and capital issuance process
Ability to analyse balance sheet and financial performance documentation
Understanding of loan documents and offer documents
Strong quantitative and analytical skills
Good oral and written communication skills
Ability to deal with tight project deadlines with multiple intermediaries and volatile capital markets