Mohammad Asad, Service Delivery Senior Specialist

Mohammad Asad

Service Delivery Senior Specialist

S&P Global

Lieu
Inde - Hyderabad
Éducation
Baccalauréat, Commerce And Finance
Expérience
5 years, 9 Mois

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Expériences professionnelles

Total des années d'expérience :5 years, 9 Mois

Service Delivery Senior Specialist à S&P Global
  • Inde - Hyderabad
  • Je travaille ici depuis mars 2021

• Involves Cash Reconciliation, financial review, and new fund onboarding.
• Managed internal workflow for Capital Calls & distributions from underlying funds to
ensure internal processing and client deadlines were met.
• Conducted in-depth analysis of financial data to identify and investigate discrepancies in
NAV calculations.
• Performed data quality checks and reconciliations every quarter for client's investments
mainly focusing on processing of Schedule of Investments and Capital account statements.
• Conducted regular client meetings to manage and optimize investment portfolios,
ensuring alignment with clients' financial goals and risk tolerance.
• Developed and maintained strong relationships with key stakeholders, acting as the
primary point of contact.
• Led the end-to-end onboarding process for new funds, collaborating with various teams
including legal, compliance, operations, and investment management.

Senior Process Executive à Cognizant Technology Solutions
  • Inde - Hyderabad
  • septembre 2018 à mars 2021

• Day to Day JE recordings based on the supports like cap calls, dist. Notices, and expense
invoices.
• NAV calculation and reconciliation of our books with PCAP sent by deals quarterly and
monthly.
• Prepare & Review quarterly and annual financial work papers including portfolio
schedules, accruals, and partner capital allocations.
• Preparing Cash analysis reports daily to ensure bank accounts have balances to disburse
funds to other bank accounts in the business.
• Prepare Brokerage reconciliations every month (Merrill Lynch, JP Morgan & BOA, etc.)
• Posting Bank Transactions to GL monthly
• Working with Onshore to clear open or outstanding items in reconciliations.
• Review quarterly management fee, waterfall, and capital account calculations.
• Delivering backups and required support to 'Audit Teams' (Internal & External, Audit
requirements)
• Foreign Exchange variance evaluation and posting gain or loss entries to P&L accounts

Éducation

Baccalauréat, Commerce And Finance
  • à Kakatiya University
  • mai 2018

I graduated from Kakatiya University with a Bachelor's degree in Commerce and Accounting specializing in Computer applications. Throughout my academic journey, I have developed a strong foundation in various aspects of business, finance, and economics. During my studies, I deeply enriched my knowledge in courses such as accounting, finance, marketing, and business management, earning consistently good grades and academic recognition. I actively participated in practical projects and case studies, where I applied theoretical knowledge to real-world business scenarios, honing my analytical and problem-solving skills.

Specialties & Skills

Private Equity
Client Management
Investor Relations
Equity Valuation
Fund Accounting
SunGard Investran
Client Relationship Management
MS office

Langues

Anglais
Expert
Urdu
Langue Maternelle
Hindi
Langue Maternelle
Telugu
Langue Maternelle

Loisirs

  • Trekking
  • Travelling
  • Table Tennis
  • Billiards
  • Badminton
  • Cricket