Monitoring – AVP/Senior Manager. | Scrabble & Jigsaw
Posted on October 23, 2024
Job Description
JOB DESCRIPTION
Particulars Details
Company Details
Infina Finance Pvt Ltd is an investment company jointly owned by Kotak
Mahindra Bank and its promoters following a disciplined long-short
investment strategy. (www.infina.co.in). We are looking to expand out
Finance team. We are looking for a CA in our team.
Mahindra Bank and its promoters following a disciplined long-short
investment strategy. (www.infina.co.in). We are looking to expand out
Finance team. We are looking for a CA in our team.
Job Title
Monitoring – AVP/Senior Manager.
Sector: BFSI
Location: Mumbai
Key
Responsibilities 1) Manage the Credit monitoring of the entire PAN India portfolio of
Location: Mumbai
Key
Responsibilities 1) Manage the Credit monitoring of the entire PAN India portfolio of
the construction Finance division.
2) Development of a smooth process of tracking the Pre and Post
disbursement condition of the projects.
3) To Established a detailed process for Covenants tracking, security
analysis, compliance management etc.
4) highlighting the red flag accounts of the entire portfolio by taking
into accounts factors such as payment track record, sales and
collection history, actuals and milestones comparison, compliance
track record, rating history or any other compliance issue.
5) Quarterly verifying the available security value of the entire portfolio
by comparing the committed receivables and unsold stock with the
balance cost of the project.
6) Undertaking the tranche disbursement of the active projects of the
portfolio.
7) Presenting the Brief monitoring report of the entire portfolio for the
senior management review.
2) Development of a smooth process of tracking the Pre and Post
disbursement condition of the projects.
3) To Established a detailed process for Covenants tracking, security
analysis, compliance management etc.
4) highlighting the red flag accounts of the entire portfolio by taking
into accounts factors such as payment track record, sales and
collection history, actuals and milestones comparison, compliance
track record, rating history or any other compliance issue.
5) Quarterly verifying the available security value of the entire portfolio
by comparing the committed receivables and unsold stock with the
balance cost of the project.
6) Undertaking the tranche disbursement of the active projects of the
portfolio.
7) Presenting the Brief monitoring report of the entire portfolio for the
senior management review.
8) Regular monitoring activities includes inventory analysis, sensitivity
analysis, micro market analysis, escrow reconciliation, site visits, DSRA
/ ISRA tracking, DCCO dates tracking. etc.
analysis, micro market analysis, escrow reconciliation, site visits, DSRA
/ ISRA tracking, DCCO dates tracking. etc.
Key Skill &
Qualifications • Bachelor’s degree in finance, Real Estate, or related field; master’s or
Qualifications • Bachelor’s degree in finance, Real Estate, or related field; master’s or
relevant certifications preferred.
• 3-5 years of experience in post-investment monitoring or asset
management.
• Strong analytical, communication, and organizational skills.
• Proficiency in Microsoft Office and real estate analytics software.
• 3-5 years of experience in post-investment monitoring or asset
management.
• Strong analytical, communication, and organizational skills.
• Proficiency in Microsoft Office and real estate analytics software.