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Are you the one we are looking for
We are inviting applications for the role of Domain Trainee - Transactions
You re responsible to Process Loan Disbursements for Bilateral & Syndicated loans. Disbursing funds on Pricing Options i.e. Prime & Libor. You will Obtain approval from Risk per the Ops Delegation of Authority. Also Perform Settlements with Investors/Syndications
Collaborating with Risk, Closing and Onboarding team to understand the Loan structure of upcoming accounts
Responsibilities
Resource should have ability to work and operate in a high volume and tight timeline environment to meet Service Level Agreements & Business demands
Excellent Interpersonal and Client Management skills
Client interactions via trainings, conference calls, and emails
Coaching/ Training New hires and Team members. Sharing process updates/ feedback from customer
MIS SOP creation and signoff, Maintaining Training/ Process accuracy data, Conducting RCA/TNA and error and feedback session
Ensuring adherence to Training policy and conducting Knowledge assessment and publishing Knowledge dashboards
Conduct and publish Quality audit and refresher
AHT managing and calculating AHT as per process requirement.
Updating Collateral Records at regular intervals to ensure the correct Loan availability
Calculating Loan Availability/Excess Availability to find out the DOA applicability
Handling Fund backs for Bilateral deals
Verifying Investor/Syndicated Agent/Customer Payment Instructions for accurate disbursements
Adherence to processing deadlines established to ensure compliance with service level commitment
Meeting all Industry regulatory requirements and Bank policies
Performing Loan Rollovers/Renewals to maintain sub ledger integrity
Processing Loan Conversions & Disbursement to report out correct receivables
Ensuring Pricing Options adhere to set rates i.e. Prime or Libor
Verifying various Rollover requisites such as base rate Rounding Clause, Loan Tenure, Maturity Date etc.
Setting up Interest payment dates if Libor contract is greater than 90 days
Highlighting exceptions to Risk
Processing various cash collection transaction in sub ledger i.e. Interest, Fee, Principal payment etc.
Settling accrual discrepancies between Bank records, Syndicated agent, Customer etc.
Communicating with Risk/Investors/Customers to resolve daily operational queries
Making sure Cash Collection Cycle is in sync with Loan docs
Ensuring adherence to Cash policy
Generating Payoff Quotes and Performing Deal payoffs to terminate loans in Sub ledger
Qualifications we seek in you
Minimum Qualifications
Bachelor of Commerce
Expertise over Borrowing Base Certificates
Good in Calculating Loan availability
Sound Understanding of Credit Agreement
Good Sub Ledger Reconciliation Skills
Preferred qualifications
Master of Business Administration
Genpact is an Equal Opportunity Employer and considers applicants for all positions without regard to race, color, religion or belief, sex, age, national origin, citizenship status, marital status, military/veteran status, genetic information, sexual orientation, gender identity, physical or mental disability or any other characteristic protected by applicable laws. Genpact is committed to creating a dynamic work environment that values diversity and inclusion, respect and integrity, customer focus, and innovation. For more information, visit www.genpact.com. Follow us on Twitter, Facebook, LinkedIn, and YouTube.

Genpact (NYSE: G) is a global professional services firm focused on delivering digital transformation for our clients, putting digital and data to work to create competitive advantage. We do this by integrating lean principles, design thinking, analytics and digital technologies with our domain and ...