To qualify for a good placement opportunity suitable to the specialization that I have. And to give my best in whatever work I am appointed to do
Overview
14
14
years of professional experience
2
2
years of post-secondary education
Work History
Business Analyst Project Managment
JPMorgan Chase
Mumbai
12.2022 - Current
Actively participated in team meetings to share knowledge, exchange ideas, address challenges, and collaborate on potential solutions.
Developed high-quality documentation to support training efforts, helping employees fully understand new systems and procedures.
Streamlined project management with effective communication and collaboration across cross-functional teams.
Performed gap analysis between existing systems or processes and desired state, identifying areas for improvement or enhancement.
Working as Project Manager and Trade booking specialist in UAT environment to ensure new product/enhancements are migrated from Legacy system efficiently and effectively
Presenting OKRs to Stakeholders
Working with Tech/Finance/MO teams on the Migration Requirement Analysis and Execution
Gathering requirements from FO / MO and preparation of test pack and getting it signed
off
Managed 2 Rates Projects and 2 Credit products projects end to end within stipulated delivery time
Effectively coordinated project with 3 people by assigning tasks as per skillset
Business Analyst
Morgan Stanley CTB
Mumbai
04.2021 - Current
Working as a Business Analyst in Trade and Transaction Regulatory Reporting space
Working in the APAC regime for mandates like ASIC/MAS/HKMA/JFSA and FSC
Understanding and analysis of business requirements provided by regulators from APAC and formulating logics to ensure that their reporting is complete, accurate and in a timely manner
Business analysis activities to define solutions in details utilizing a mix project skills and technical domain knowledge, partner with RTB, tech and data, vendors and other stakeholders on solution implementation
Provided product management to drive and realization of business benefits
Designing and delivering operating model concepts, form and maintain effective relationships with business unit and technology counterparts and stakeholders and understand detailed of industry and regulatory changed projects
Delivery on business process transformation initiatives and software delivery projects to identify project risks and barriers to support business migration through process change or software delivery and to track and realize business benefits
Develop and monitor data quality metrics and ensure business data and reporting needs are met
Creating a detailed business analysis, outlining problems, opportunities for a business
Providing support in a business migration through process change and software delivery to track and realize business benefits
Senior Associate
SS&C Globeop Finanancial Services
Mumbai
07.2015 - 03.2021
My work here included reconciliation of data received from client and their counterparties, this data includes transactions that have taken place between the two parties in the OTC market
These transactions can be in products such as Credit Default Swaps, Interest Rate Swaps, Equity Swaps, Swaptions, Equity Options, Foreign Exchange Options etc.
This work profile requires a good understanding of the OTC market and the nature of the OTC products
I am currently working in three teams-
Reconciliation- In this process, the total open/live positions that a client has with all his counterparties are reconciled in a reconciliation software application tool
The key indexing parameters and conditional indexing parameters are matched and in case of discrepancy are raised to the client/ counterparty/ concerned parties
Also have some exposure in cash reconciliation
Trade entry- The job of the team is to overlook the trades that are sent by the clients via FTP files and see that all these trades are properly booked into our system, in case some trades fail to load into the system for some reason, they have to be manually booked and loaded into the system
The team also has to look after trade amendments and several other processes such as cashflow booking, factoring, etc
Trade Confirmations- This team receives trade confirmation from counterparties in paper (pdf format statements) via email or the trades are submitted by counterparties on electronic platforms such as the Depository Trust and Clearing Corporation (DTCC) and Intercontinental Exchange (ICE), these trade confirmations have to be reviewed against the trades booked into our system by the client
This team has to ensure that client and counterparty agree on all the economics details in the trades
Also involved in projects for User Acceptance Testing, for new developments in existing applications, new application developments and so on
Financial Database Executive
Accord Fintech Ltd
01.2011 - 01.2012
My work included to input the data from financial statements of various Indian Companies into a company made software of the balance sheet and profit and loss account and the cash flow statement under relevant headers of incomes, expenses, assets, liabilities respectively
It required a fair understanding of accounting in order to determine the header into which a particular transaction should be allocated