Vivriti Group - Job Description
About Vivriti Group:
Vivriti Group is a pioneer in the Mid-Market Lending space providing
tailored debt solutions to mid-sized entities. The group has the following
businesses:
-
Vivriti Capital Limited
, a systematically important NBFC (NBFC ND-SI) regulated by RBI. As on
date, Vivriti Capital has disbursed USD 3 billion across 300+ enterprise
borrowers and is rated A+ by CRISIL.
-
Vivriti Asset Management
, subsidiary of Vivriti Capital, is a fund manager to fixed income
alternate investment funds (AIFs). As on date, Vivriti Asset Management
has across funds, raised commitments of over USD 500 million from 900+
Institutional and private contributors. Vivriti AMC has also made
investments of over USD 575 million across 80+ entities.
About the team and role:
Vivriti Capital seeks a Treasury Associate to support its growing
operations. The person will work both within Treasury and with a diverse
set of cross functional stakeholders along with external banking partners.
This position requires a self-starter who will work to support Treasury
processes, analytics and reporting that provide information in a clear
manner to senior management. The successful candidate should be
comfortable with ambiguity, large complex data and balancing multiple
competing priorities.
Key responsibilities:
-
Preparation of monthly/quarterly/yearly information MIS for existing/new
lenders/credit agency for credit / renewal of facility/rating renewal
etc.
-
Preparation of CMA, financials information and understanding on
financial parameters, handling queries of banks in relation to
proposals.
-
Undertaking activities such as preparation and execution of the
documentation set i.e., disbursement request letter, fee debit letters
etc, arranging for Board resolutions, reps and warranties certificate,
KYC and constitutional documents for each borrowing.
-
Cross Functional coordination with Compliance, Risk, Finance, Legal for
closure of data requirements as well as legal documentation, board
resolutions etc.
-
Undertaking conditions subsequent activities such as arranging for end
use certificates, undertaking security creation by filing CHG-1, CHG-9
forms and perfection, arranging due diligence reports, assisting in
stock audit by coordinating with External CA firms, Compliance and
external vendors.
-
Support any new business requirements or research or any other activity
related to Fund Raising & Treasury operations.
Desired Skills and Experience:
-
CA / M.B.A / bachelor’s degree in finance or related field with 0-2
years of experience in Treasury, Finance or banking industry.
- Adept with MS excel, word, PPT and other similar tools.
-
Advanced analytical and problem-solving skills with keen attention to
detail.
- Prior experience in treasury operations.
-
Motivated self-starter that can work independently with limited
supervision.
-
Proven ability to meet deadlines while managing multiple deliverables.
-
Eager to learn and willing to take on additional assignments and/or ad
hoc projects as assigned.
- Excellent communication and presentation skills.
We assure you:
-
An opportunity to play a formative role in an ambitious financial
services marketplace spanning investment banking, debt capital markets,
institutional finance, retail lending and asset management.
-
A journey that will challenge and reward you in a manner few others
will.
| Location |
Mode |
| Mumbai |
Work from Office |
This is an External document.