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[QUOTE=Guest;250573]S CHAND BASHA [B]E-Mail [/B]: schand_basha06 AT yahoo.co.in [B]Professional Abridgement [/B]: - A result driven professional with over 6 Year’s of rich experienced in Banking Operations, Accounts Reconciliation. Currently looking for a mid level Appointment. - Previously posted as Officer in Karvy Computer Share pvt. Ltd., in Hyderabad - Proven track record in each of the Jobs. Received appraisals in each of the job successfully. - Have acquired Trainings, New skills & Expertise in each Job Successfully. - Sound analytical ability to access a given situation with patience and perseverance. - NISM Certified with 52% [B] Key Skills [/B]: [B]1. TIME BOUND [/B]: Capacity for creating process and systems focused on timely delivery; never keep any work pending [B]2. Inspirational [/B]: Workaholic and practical thinker with exceptional interpersonal skills and talent for building and inspiring teams to give their best. [B] Employment Chronicle [/B]: Dec- 2010 to Dec– 2012 Karvy Computer Share Pvt. Ltd., Hyderabad Officer – JMF Mutual Fund Operations KARVY is a premier integrated financial services provider, and ranked among the top five in the country in all its business segments, services over 20 million individual investors in various capacities, and provides investor services to over 300 corporate, comprising the who's who of Corporate India [B]Role [/B]: Presently handled Redemption Operations of JM Mutual Fund - Handling queries through mails & Phone calls. - Lien Markings. - Checking, verifying and uploading the NAV in the system. - Porting and endorsing of the data - Splitting of the Liquid Scan images. - Checking and updating the CPZ observations. - Updating the exceptions and DC rejects in system. - Spooling the final funding register and verifying the lien marking status, bank account patterns & high value warrants. - Matching the funding register with the redemption POD and also with the DCB and warrants file. This completes the daily funding process. Previously handling Purchase Operations of JM Mutual Fund and Corporate of JM Mutual Fund [B]Achievements [/B]: - Handled Core 11 Scheme Open Ended Operation successfully. [B] Previous Purchase Responsibilities [/B]: - Reconciliation on daily basis of Purchase transactions, Repurchases, Switches, Systematic investments, Brokerage payment and Dividend transactions. - Handling of 125 corporate bank accounts of AMC and reconciling all the accounts on daily basis. - Credit identification Report for Liquid and Non liquid transactions on daily basis. - Handling monthly dividends and adhoc dividends of AMC and ensure smooth processing of dividends. - Sending banking & dividend related reports to the AMC on a daily, weekly, Fortnightly and Monthly basis - Monthly Reconciliation’s of Subscription, redemption, divided & brokerage. Jan 2008 – Dec 2010 ICICI LOMBARD GIC LTD, Hyderabad Associate (back Office Operations in CPU) [B]Achievements [/B]: - Received spot gift for good performance from HO. [B] Previous Responsibilities [/B]: - Presently maintaining of FOS and Renewal Escalation cases for Health Policy Issuance PAN India under Health Delivery Team. - Coordinating with Branch service team PAN India for quick query resolution so Issuance happens as per norms specified by the Company. [B]Business Correspondence [/B]: - Providing Resolution of Critical Escalation to Service Quality and CS team for Legal Cases, IRDA Complaints etc. - Guidance to BSG & Execution of Operations with latest process rolls out as per IRDA norms. [B] Medical Reports [/B]: - Daily download the medical reports through UHCI link and forward to U/W loop. Continuity benefit letter - Health insurance has a more products available and applicant changes of product where that which time product change against issue of continuity benefit letter. [B]IRDA DATA :[/B] - Every month end provides the IRDA data to FINANCE & ACCTS team, while that which data has confirmed with Rural /Urban status. Jan 2007 – Dec 2007 karvy Stock broking, Hyderabad Associate – Commodities Operations [B]Responsibilities [/B]: - Maintenance of day to day commodity Security transactions of Trading accounts. - Ensure the data available to the Investors. - Interacting with the Trading department for automation and other database requirements. - Ensuring quality control at various levels of database maintenance Master of Commerce from Sri Krishna Devaraya University 2006. Bachelor of Commerce from Sri Krishna Devaraya University 2004. NISM-Series-II-B [B] Project & Trainings [/B]: - HINDI NAGARAIBHODH from Hindi Prachar Saba, Hyderabad. - HINDI BHUSAN from Hindi Prachar Saba, Hyderabad. - T.T.C (Drawing) Technical Teacher Certificate in 2003. - N.S.S Social activities of collage level in 2004. [B] Computer Skill [/B]: - Operating Systems -DOS, Windows 95, 98 and 2000 - Packages - Office - Database : SQL - 3D Max (or) Micro Station. - Auto Cad, Auto Cad (3D) [B]Personal Vitae [/B]: [B]Date of Birth [/B]: 15-June-1984 [B]Martial Status [/B]: Married [B]Gender [/B]: Male [B] Declaration :[/B] `I hereby declare that all the above information is true and correct to the best of my knowledge and belief’. [B] Date [/B]: [B]Location [/B]: Ameerpet Hyderabad (AP) S CHAND BASHA[/QUOTE]