Resume - Sneha Chandak

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SNEHA CHANDAK

+91 7447499901
snehachandak90@gmail.com
CAREER OBJECTIVE:
To seek a challenging position in the industry and enhance skills for the benefit of the organization also to ensure
personal career growth.

PROFESSIONAL SUMMARY:
 Financial functional and technical services professional with around 9+ years of extensive experience.
 Good understanding of trade life cycle and pre/post-trade processing including front/mid office processes, trade
support, monitoring and confirmation, Front office risk, clearing and settlement.
 Having an experience in Bonds, FX, Money Market, Repo, Derivatives, Cash and other financial product’s
trade life cycle (OTC and exchange) and knowledge of software development life cycle of trading platforms.
 Knowledge of regulatory frameworks for RBI, SEBI, Dodd frank, CCAR, EMIR, BASEL norms, MIFID etc.
 Managing projects and developments of new and existing systems. Also proposed, designed enhancements to
systems with Development Teams, upstream and downstream to the processes.
 Successful transition of systems and processes along with testing and execution in the systems.

Professional Strengths:
 Business documentation – Requirements/traceability
 Testing- UT/ST/UAT/SIT/MOCK
 Regulatory reporting
 Pricing and valuation
 Front to back processes (Entire TLC)
 Extensive Financial market products knowledge
Achievements:
 Development, system improvements and successful implementation of many Trading platforms.
 Completion of many projects as per requirement of Reserve Bank of India (RBI) and market participants to
facilitate trading for all market participants for different products, settlements.
 I had been instrumental in initiating, carrying out process improvements where system gaps are identified and
implemented many changes for optimizing processes.
 Handled greatest volume spike whenever required within given deadline. And rewarded as “Excellent
Performer” many a times.
 Projects such as NDS OM revamp, RBI Retail Direct, FTRAC Reporting, RFQ platform etc.
Education:
 Advanced Management Programme (AMP) at IIBF (2020-21)
 Management Development Programme at IIM, Calcutta (2021)
 MBA-Finance, SKN Sinhgad Business School, (2010-2012)
 NSE’s Certificate in Financial Market (NCFM) - Derivatives Market (Dealers) Module
 Bachelor of Commerce, SBES, Aurangabad (2007-2010)
 Certificates from Origin Interactive Learning (Practical training in Financial Markets)
 NIBM (Integrated Treasury Management certificate) (2015)

Skillset:
 Global financial application and platforms: RBI Retail Direct, NDS OM, NDS CALL, CROMS, FTRAC,
NDS OM Web, CROMS Web, VRR, Recon Tools (IntelliMATCH, Recon Frontier), MarkitWire, DTCC, CLS,
SWIFT, FX Clear, CBS, Reuters, Bloomberg.
 Languages & Tools: SQL, Jira, Advance Microsoft Office, MACRO
PROFESSIONAL EXPERIENCE:
The Clearing Corporation of India ltd. (Clearcorp Dealing systems (India) ltd)
(From April’14-till date)
Assistant Manager (NDS Operations Department)
Responsibilities:
Testing and Development – Business Analyst -
 CCIL maintains platforms of Reserve bank of India (RBI), platforms such as NDS OM, NDS CALL, RBI
Retail Direct, NDS OM web, VRR etc. and undertakes development of new platforms as and when required
for Indian Bond Market.
 Understanding requirements of Reserve Bank of India (RBI), other regulators and Market participants for
above mentioned platforms along with CCIL’s propriety trading platforms such as CROMS and FTRAC.
 Incorporating requirements as per Master circular & Operational Guidelines released by Regulators.
 Incorporating requirements of members in trading/reporting platforms, maintaining tools, workflows to
ensure suitable solution is available to the clients/members.
 Prime responsible for managing new releases for the applications and reconciliation of different masters
related to the same for business units
 Integration of Front Office trading platforms with internal risk systems to clearing and settlement and
fulfilling requirements of external market agencies.
 Projects – RBI Retail Direct, NDS OM Revamp, NDS CALL Migration and development, FTRAC
Ongoing development – IPA, CD Buyback, LEI Incorporation across systems, NCD (Ongoing), CROMS
Migration & Development (Ongoing), VRR.
Operations – Team Lead -
 Scrutinizing and monitoring the timeliness of ongoing daily trading activities on different platform and
ensuring files/trades goes for clearing and settlement.
 Supporting Auction, Issuance, trading, Reporting, clearing and settlement of Government Bonds, State
development loans (SDL/SG), Treasury Bills (Tbills), Repo in Bonds, Money Market instruments,
Commercial Paper, Certificate of Deposits, Corporate Bond Repo and some other financial products done
OTC and on different platforms maintained by CCIL.
 Working closely with Front office trading desks, development and support teams and clients to scope
(technical) feasibility, quality and risks of the solutions offered in areas of trading to settlement queries.
 Pricing and valuation of different financial instruments. Ensuring availability of rates and prices to market.
 Lead role to ensure all activities are executed properly and checking the same.
 Preparation and Ensuring availability of daily Weekly, Monthly, Quarterly reports to members, market
participants, Regulator and internal teams.
 Preparation of functional documents/Process documents.
 Identifying the scope of automation within the process and develop Excel (VBA) Macros.

Eclerx Financial Services Ltd.


(From Oct’ 12 till Apr’ 14)
Financial Analyst
Responsibilities:
 Managed Transition and training of Cash/FID/FX reconciliation processes. Part of transitions team as
knowledge transfer analyst, preparation of key documents.
 Reconciliation and investigating of Exchange and OTC based trades for FX, Swaps, fixed income products
in Nostro & Client accounts.
 Matching and investigating for outstanding trades and Investigate unclaimed transactions in recon tools
IntelliMatch, SAFE, Mainframe, CLS etc.
 Managing Cross product settlement across Entities and accounts for FID and Equity trades. Confirmation
and Resolving breaks as per guidelines of ISDA (International Swaps and Derivative Association).
 Identify root cause of errors occurring repeatedly and suggesting system enhancement to eliminate breaks.
 Streamlining the process by way of interacting with various internal departments and ensure swift
completion of trading account setup requests preparing documents for supporting the process
 Highly involved in training analysts on any change in the process, training the new hires and auditing and
reporting on the growth of new hired Analyst.
 Managing the team, assisting manager in terms of capacity planning and work allocation
 Worked on developing Excel Macro for calculations. Performed different UAT testing for new applications
or existing systems updating downstream impact checks on regular basis.
 Generating Daily, Weekly and monthly MIS reports and active Involvement in all client calls coordination.
 Downloading,Analyzing,Reconciliation of trades for Credit Derivatives submitted on DTCCplatform.
 Created standard operating procedures, devised on-boarding training plan for the new joiners and put in
place checklists/error trackers for the newly transitioned processes.
 Managed multiple teams across various phases/process of TLC and ensure execution as per defined SLAs

PERSONAL DETAILS
 Nationality: Indian
 Date of Birth: 17/08/1990
 Present address: Baner, Pune, Maharashtra.
 Marital Status: Married
 Interests: Reading Books & Travelling

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