Total Years of Experience: 12 Years, 2 Months
November 2012
To Present
Senior Operations Executive
at Tata Consultancy Services
Location :
India - Mumbai
Department: Bids and Third Party (Mortgage Foreclosure), a Sub Process of Global Loan Operation (GLO)
Role:
Documenting bidding instructions for auctioning of foreclosing properties in United States
Preparing & auditing all bidding instruction within pre-defined timeline
Mapping and solving foreclosure discrepancies by calling within 24 hours that were reported via e-mail
Summarizing the daily analysis report and discussing the same with onshore team for making modifications of Standard Operating Procedure
Role:
Documenting bidding instructions for auctioning of foreclosing properties in United States
Preparing & auditing all bidding instruction within pre-defined timeline
Mapping and solving foreclosure discrepancies by calling within 24 hours that were reported via e-mail
Summarizing the daily analysis report and discussing the same with onshore team for making modifications of Standard Operating Procedure
January 2012
To October 2012
Financial Analyst
at J. P. Morgan Chase India Services Pvt. Ltd.
Location :
India - Mumbai
Department: Global Income Services, Sub Process of Treasury Securities Services
Role:
Ensured complete payments of all types of income proceeds (dividend / interest) on securities to the clients is done as per their holdings in respective securities through SWIFT (Society for Worldwide Interbank Financial Telecommunication)
Handled currency exchange of income on securities as per the client’s instructions
Analyzed & resolved discrepancies in income proceeds by liaising with internal departments / agents (custodians) / clients
Communicated with custodians in all markets (Asia Pacific, EMEA & WHEM)
Prepared weekly reports of predictions of income payments in securities market to ensure smooth planning of income proceeds
Maintained data regularly for constant improvement in process
Role:
Ensured complete payments of all types of income proceeds (dividend / interest) on securities to the clients is done as per their holdings in respective securities through SWIFT (Society for Worldwide Interbank Financial Telecommunication)
Handled currency exchange of income on securities as per the client’s instructions
Analyzed & resolved discrepancies in income proceeds by liaising with internal departments / agents (custodians) / clients
Communicated with custodians in all markets (Asia Pacific, EMEA & WHEM)
Prepared weekly reports of predictions of income payments in securities market to ensure smooth planning of income proceeds
Maintained data regularly for constant improvement in process
Share on Facebook
Share on Twitter
Share Via Email