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The role involves providing technical due diligence and investment risk monitoring services for private equity, banks, and NBFCs. You will lead teams in executing financial assessments, cost reviews, and ensuring project compliance with statutory and environmental standards.
Job Title
Senior AssociateJob Description Summary
Job Description
HR FORM – 001 Page 1 of 1
JOB PROFILE
Job Title: AM / Manager Job Grade:
Location: NCR Report To: AD / Director TAM Services
Qualifications:
BE Civil / BArch
MBA / Nicmar / RICS
Competencies
• Requires expert level analytical and
quantitative skills
• Ability to comprehend, analyze, and interpret
the most complex business documents.
• Ability to respond effectively to the most
sensitive client concerns
• Ability to motivate and negotiate effectively
with key employees, top management, and
client groups to take desired action.
• Ability to analyze the most complex
business/financial data and develop
innovative solutions.
• Strong interpersonal and organizational skills
• Strong leadership management skills
• Requires expert knowledge of financial terms
and principles
Job Summary
Investment Risk Monitoring - Technical Due Diligence & Project Risk Monitoring
• Providing Lenders Independent Engineer, Technical Due Diligence & Project Investment Risk
Monitoring services for Private Equity companies, NBFC & Banks.
• Lead team to execute and deliver Technical Due Diligence for largest stressed assets
• Providing BOQ level cost review / assessment for real estate projects.
• Leading team to execute financial assessment for reconciliation of construction material through
purchase orders, work orders, bill payment mapped with Bank statements for payment done.
• Evaluate Projects and developer capability profile for foreign investment, evaluate projects for
innovative construction methodology and type
• Expert understanding of regional, state and national construction approvals and compliances
• Evaluate project for Environment, social impact, HSE for foreign investment.
• Project financial assessment by analysing Cash Inflows and Outflows.
• Comparison of Project planned v/s actuals on basis of Investment committee notes for statutory
approvals, construction schedules, project budget & cost and sales milestones, sales MIS.
• Updating the investment team on project challenges in terms of approvals, timelines and project cost.
• Review of developers escrow account for funds credited and debited for receivables of sales &
expenses for construction and other cost.
• Responsible for site execution support, bills certification of project, rate analysis, EHS & Quality
compliance and overall engagement & client management.
• Contribute to new client acquisition, preparation of proposals, learning & development plans for the
team
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