01Responsibilities
1. Support credit risk monitoring for High Yield & Leveraged Finance portfolios with onshore teams
2. Manage assigned sectors/companies and prepare detailed credit memos, reports & financial models
3. Conduct in-depth credit analysis, assessing business & financial risk profiles
4. Build and update financial models including projections, capital structure & key credit metrics
5. Recommend internal ratings and present in committees with strong justification
6. Engage with clients regularly and contribute ideas to enhance engagement
7. Mentor junior team members and support training initiatives
02Requirements
1. 7+ years of experience in credit risk, credit research, or portfolio monitoring
2. Strong expertise in financial modeling, preparing credit memos, report writing and credit analysis
3. Experience in Second Line of Defence (2LoD) / review & challenge roles
4. Understanding of leveraged lending guidelines and SNC frameworks
5. MBA / CA / Masters degree preferred; CFA is an added advantage
Whats in it for you
- Opportunity to work on high-impact global credit portfolios
- Exposure to complex financial structures and decision-making forums
- Collaborative work culture with strong learning and growth opportunities
Reach Us: If you feel this opportunity is well aligned with your career progression plans, please feel free to reach me with your updated profile at for a confidential discussion on the role.
Keywords:
Credit Analysis, Credit Risk, Financial Modeling, Leveraged Finance, High Yield, Portfolio Monitoring, Credit Research, Risk Assessment, Valuation, Banking, Credit Memos, Report Writing, Corporate Credit .