Skills required:
In-depth analysis of the financial statements of the issuers, historic as well as the business plan/forecasts, followed by an elaborate compilation and computation of the operating metrics thereof
Bond Covenant analysis
Shadow/synthetic ratings based on various parameters as defined by Moody’s, for various sectors
Analysing periodical updates provided by the issuers, including business plan/forecasts modifications, corporate developments, and additional debt/equity issues
Basic knowledge of convertible bonds
Writing summary notes, business updates, and elaborates investment reports
Financial modeling, including valuations, relative analysis and sensitivity analysis
Participating in issuer’s management-investors meets; site visits for asset quality verification, in case required by the client
Top KPO with opening in both Credit and Equity-Modelling and report writing.
Good knowledge of Modelling and report writing essential.send ur resume before 30th Dec 2010
CA
1 Years
Above Rs.300,000/-