Cash Flow Modeling Analyst Job In Deutsche Bank In India, Mumbai

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Job Details
Cash Flow Modeling Analyst Position OverviewJob title:Cash Flow Modeling AnalystLocation: MumbaiOverview: Business: Trust and Agency Service (TAS):With offices in New York, California, London, Frankfurt, Milan, Lisbon, Dublin, Hong Kong, Singapore and Tokyo, the Trust and Agency Services team at Deutsche Bank has long been recognized as a leader in the provision of administrative and fiduciary services to the global debt and equities marketsIt supports structures from the simplest to the most complex, covering Asset Backed Securities, CLOs and Managed accounts, Corporate Debt, Escrows, Project Finance, Loan Agency, and Depositary ReceiptsJob Description TAS Analytics group within Corporate Trust business of Deutsche Bank is supporting the Structured Finance products like ABS/MBS/CDOs and other Debt products like Syndicated Loan transactions where DB acts as Trustee and/or Agent As Trustee and/or Agent, DB is responsible for performing various calculations including but not limited to Bond Payments and Tax Calculations for new and existing bond issuances Group has exposure to Corporate Trust's business in understanding the Structured Finance and other Debt products and its Analytics requirements along with supporting the CSG activities.

The successful candidate will be required to cover European working hours supporting the EMEA/Americas businessCorporate title will depend on the relative experience of candidateWhat we'll offer youAs part of our flexible scheme, here are just some of the benefits that you'll enjoy
  • Best in class leave policy
  • Gender neutral parental leaves
  • 100% reimbursement under childcare assistance benefit (gender neutral)
  • Flexible working arrangements
  • Sponsorship for Industry relevant certifications and education
  • Employee Assistance Program for you and your family members
  • Comprehensive Hospitalization Insurance for you and your dependents
  • Accident and Term life Insurance
  • Complementary Health screening for 35 yrs and above
Your key responsibilities
  • Read and interpret governing legal and issuer documents namely Prospectuses/Offering Circulars, Bond Indentures and Pooling and Servicing Agreements, Hedging Agreements, etc
  • Develop, run, and validate cash flow and tax models.

    This includes validating the accuracy of current and future deal cash flows against prospectus supplement tables for decrement and prepayment assumptions, confirming bond yields produced from cash flow models against yields provided by authorized third parties, and reviewing income trend analysis for OID/tax reporting
  • Offer the highest level of customer service by understanding overall deal structure and bond payments to provide internal and external clients with explanations to support cash flow model output
  • Establish the guidelines for receipt and appropriate format of underlying asset-level collateral that supports bond payments, as well as research and resolve any data accuracy issues
  • Provide support to Tax Accountants to support the complete tax reporting infrastructure This includes database, report creation, structure, systems, collateral, and validation processes.

  • Involvement in ad hoc/special projects which support process improvement and the implementation of technology initiatives
  • Understand and analyze issues and offer practical solutions Working independently with a minimal degree of supervision is required to exercise independent judgment
Your skills and experience
  • Bachelor of Science/Engineering/B Com with MBA in Finance or qualified CA/CFA with a high GPA and a minimum of 2 years of professional experience.

  • Previous experience in developing cash flow models, and exposure to securities industry
  • Must have proven skills in MS Excel and/or MS Access with good scripting skills in VBA
  • Knowledge of Relational Databases/SQL (ability to understand and write simple queries) and Advanced MS Excel
  • Ability to understand/debug codes in some proprietary scripting language In addition, if the incumbent can code in scripting language, it may be an advantage
  • Basic understanding of financial instruments like Bonds, Loans, Leases, etc.

    Additional knowledge about Mortgages, Structured Products like MBS/ABS and hedging instruments (like swaps, etc) will be an advantage
  • Understanding of cash flow dynamics associated with the above kinds of instruments Exposure to discounted cash flow engines
  • Demonstrated ability to handle multiple and often competing projects under tight deadlines and pressure
  • Must project a Customer/Client service focus.

  • Responsible for supporting efforts to mitigate and control operational risk
  • Must be organized, focused, and possess strong communication and analytical skills
  • Demonstrated ability to work and think independently, while supporting team goals/objectives
How we'll support you
  • Training and development to help you excel in your career
  • Flexible working to assist you balance your personal priorities
  • Coaching and support from experts in your team
  • A culture of continuous learning to aid progression
  • A range of flexible benefits that you can tailor to suit your needs
About us and our teamsPlease visit our company website for further information: Our values define the working environment we strive to create - diverse, supportive and welcoming of different views We embrace a culture reflecting a variety of perspectives, insights and backgrounds to drive innovation.

We build talented and diverse teams to drive business results and encourage our people to develop to their full potential Talk to us about flexible work arrangements and other initiatives we offerWe promote good working relationships and encourage high standards of conduct and work performance We welcome applications from talented people from all cultures, countries, races, genders, sexual orientations, disabilities, beliefs and generations and are committed to providing a working environment free from harassment, discrimination and retaliationClick to find out more about diversity and inclusion at Deutsche Bank.

Candidate Profile
Deutsche Bank is looking for .

Deutsche Bank is looking for Any Graduate / Post Graduate profile candidates.

Short Job Information


Job Title : Cash Flow Modeling Analyst
Company Name : Deutsche Bank
Job Location : India, Mumbai
Education : Any Graduate / Post Graduate
Experience : Freshers
Post Date : 04 April, 2023
Last Date : 03 June, 2023
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