Lead - Treasury
adani power limited
Strategic:
Plan complete life cycle of fund raising to financial closure for new project
Operational:
Coordinate with Banks, financial Institutions and consultants to arrange syndication of and raise funds from various financial institutions / Banks / lease finance companies. Arrange working capital and term loan from banks and FIs To carry out Due diligence and valuation excercise Prepare techno-commercial feasibility report for the project Liason with bankers /investment bankers and solicitors, rating agencies and providing them the requisite information to complete the rating exercise on time and ensure that the rating gets improved Work closely with the project development team to identify, analyse and execute the most optimum financing solution for the company (including debt and equity) Manage all activities related to funding tie-up & financial closure, up to disbursement Coordinate the drawdown/repayment formalities for debt facilities and to monitor compliance with financing conditions and obligations Support senior management of the company on various financing related matters on an ongoing basis Loan documentation and its execution with corporate legal team Handle compliance linked to loans availed. Should have experience in raising funds through issuance of NCDs
Financial:
Preparation of CMA Report for project finance Prepare comprehensive financial models for various projects to deliver cash flow forecast, scenario analysis, risk assessment and return analysis Prepare comprehensive financial models for various projects to deliver cash flow forecast, scenario analysis, risk assessment and return analysis MIS/analysis of projects/business
People:
Exhibiting a performance driven culture Close coordination with cross functional teams/ JV partners CA/MBA finance or related qualification15+ years. Preferred in real estate / construction industry.
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