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Investor Relations Manager


Muthoot Fincorp Ltd.


Location

Mumbai | India


Job description

ROLE SUMMARY (PURPOSE)

The Manager for Investor Relations in Muthoot Fincorp plays a crucial role in fostering communication between the company and its investors. R esponsibilities include

managing relationships with shareholders, analysts, and financial institutions, organizing investor meetings, and ensuring compliance with regulatory disclosure requirements.

Additionally, the role involves supporting finance and secretarial team preparing financial reports, presentations, and communication materials to keep investors informed about the company’s performance and strategic initiatives. Further, the role may collaborate with the strategy team to analyze market trends, competitor activities, and industry developments to provide valuable insights to investors.

KEY RESPONSIBILITIES Stakeholder Relationship Management Cultivate and maintain strong relationships with current and potential investors, analysts, and financial institutions. Serve as a primary point of contact for inquiries from the investment community. Organize and coordinate investor conferences, meetings, and other events to showcase the company's performance and strategic objectives. Facilitate communication channels during these events, addressing inquiries and providing relevant information. Address shareholder concerns and inquiries promptly and professionally. Gather feedback from investors and analysts to understand their perspectives on the company's performance and areas for improvement. Use feedback to enhance investor relations strategies. Conduct educational sessions for investors to enhance their understanding of the company's business model, industry dynamics, and growth prospects.

Internal Team Collaboration Collaborate with the finance team to ensure financial data integrity and compliance with accounting standards. Further work closely with them to prepare and disseminate accurate and timely financial reports, earnings releases, and other relevant financial information. Partner with strategy team to gain insights about market trends, competitive landscape, and developments in BFSI sector as a whole. Partner with marketing team to design and develop internal/external communication framework and ensure its readiness before critical events. Coordinate with legal and compliance teams to draft and submit necessary reports to regulatory bodies. Develop contingency plans for handling crises and market disruptions, ensuring a transparent and effective communication strategy.

KEY SKILLS & BEHAVIOURAL ATTRIBUTES Key Skills – Familiarity with capital markets, financial and regulatory compliance. Further, understanding about NBFC, particularly in gold loan space would be an added advantage. Good written and verbal communication skill in English and ability to disseminate critical information through organized and standard communication process. Ability to facilitate key events/conferences and internal and external stakeholder management. Behavioral Attributes – Driven and in alignment with our Purpose “Transforming the life of the common man by improving their financial well-being” and anchored by our core value of integrity, collaboration, and excellence.

EDUCATION / EXPERIENCE Education – A master’s degree in business administration in finance is preferred. 4 - 7 years of experience in investor relationship management, shareholder communication, corporate strategy and planning would be ideal for this role.


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