SlideShare a Scribd company logo
1 of 4
Navneet Singh
Flat no-403,3rd
floor A-22&23 Jai Bharat Enclave,
Bhagwati Garden Ext. Uttam Nagar near Dwarka Mor metro station, New Delhi-110059.
E-Mail: singh.singh.navneet26@gmail.com. Ph.: 9810207335
Objective
Intend to have a professional career, which would explore mine skills and capabilities to a maximum,
helps me and a company with whom I work. To get success in life, looking forward to a dynamic and
stimulating environment, hardworking, having well time management, work responsibility besides
reliability.
Professional Experience
Barclays Shared Services (Since Oct-2011).
BARCLAY CAPITAL WEALTH MANAGEMENT:
Currently working in Barclay Wealth for Nostro (cash) & stock reconciliations. Barclay’s wealth invest
the money of client in shares, stock etc. An opportunity get to migrate the process from Singapore.
Singapore & Hong Kong region:
• The frequency of the both Nostro accounts of APAC & stock reconciliations in Singapore & Hong
Kong booking center is daily.
• APAC nostro reconciliations performed on IMATCH between STMT & Ledgers and stock
reconciliations performed on the basis of quantity of shares on excel sheet in multiple currency.
• IGT & AVALOG tool used for these reconciliations.
• Statements come via SWIFT in IGT which is send by agent bank of counter party and ledger
posted as Trade which is booked by respective departments in AVALOG.
• Daily basis need to check the closing balances of respective counter party bank accounts is
overdraft or not, if it is showing overdraft then we need to inform them in Nostro accounts to
cash team and respective department in both region to take necessary actions and avoid from
OD charges.
• If cheques received from UOB (United overseas Bank) then need to confirm about cheques
clearance via call them and give confirmation to Remittance department for post the ledgers.
• MT950 is used for statements of SWIFT for Nostro. If we are not able to see MT950 statements
in IGT then follow up will be done with respective counter parties.
• MT535 is used for stock reconciliations and same process will be follow for missing statements.
• Daily basis need to check Out of proof (OOP) for respective balance pool in APAC nostro
accounts. If there is OOP showing then we need to investigate the reason and resolve the issue.
• Daily basis prepare Geneva vs. Singapore & Hong Kong manual reconciliations. If there is break
come then we will investigate and informed to respective department.
• Manual uploads for Monthly statements of stocks, Barclays options & Flat balance pool whose
stmt received via email due to not set up in IMATCH on daily basis.
• If any credit statement which received in any balance pool and unable to recognize to whom we
need to tagged in IMATCH then will be broadcast via email for advice. When funds remain
unclaimed by anyone then we will return those funds via IGT to counter party after 7 business
day.
• Daily basis run the MIS report of Cash & stock reconciliations and saved in share point for
business purpose.
• Response on emails if any query from business regarding these Nostro & stocks accounts.
• Run missing MT950 & 535 statements for both nostro & stock on a daily basis.
• Monthly prepare Nostro GL report for both Singapore & Hong Kong booking centre on 1st
day of
business day.
• Prepare Cash & stock outstanding breaks report in monthly end activity and send to business.
Geneva Region:
• Prepare MIS report of Nostro cash & stock reconciliations on daily & weekly basis and saved in
share point.
• Cash & stock reconciliations of Geneva in IMATCH for respective balance pool of counter parties
in multiple currency.
• Manual uploads of Precious metals ledgers on daily basis and reconciled with statements in
IMATCH.
• Prepare Missing MT 950 & MT 535 statements report on daily basis.
• DCP report for treasury team prepared on daily basis and send confirmation via email.
Investment Banking - Cash & Stock of Tokyo region:
 Daily run MIS cash report for Tokyo.
 Upload Generic template for Shanghai, Korea, Taiwan & Tokyo.
 Apret stock reconciliations in securities of Tokyo.
 Retained cash & stock for Shanghai, Korea & Taiwan reconciliation in I match.
 Tokyo cash & stock reconciliation in old & new version of I match.
 Commodities (Precious metals) reconciliations.
 Prepared daily break report for Tokyo cash & stock and saved in shared drive.
 Prepared Missing statements for cash & stock.
BARCLAYCARD:
A) Barclaycard Partnership: Worked in Barclaycard partnership reconciliations under Retail & Business
Banking as Team Support Specialist (Business Analyst3) in GL Control department. Barclaycard has
partnership with 6 deals (IHG, BHS, Hilton, Shopper card, Orange & Thomas cook):
-: Handling daily, weekly and monthly General ledger, Bank, Branch and Account receivable
reconciliations.
-: Used SAP P11 software to pull data of GL balances and transactions activity and Vision plus used for
view the customer data regarding Barclaycard.
-: Daily GL reconciliations include Cardholder lending account (Debtors account) and System integrity
reconciliations of 6 partnership deals with Barclaycard.
-: Weekly GL& Bank reconciliations include : sundry accounts, bank accounts of shopper card &
Thomas cook, Working capital of Thomas cook, GL chargeback & Fraud Mirror accounts.
-: Monthly Joint Venture reconciliations which include SPF (solution personal finance) between
Barclaycard & Little wood company which includes debtors,creditor,audit fees, accruals,A.R. control
etc.
-:Weekly Account receivable (AR) reconciliations regarding 6 deals with Barclaycard includes- Bill
payment ,Telephone & Internet suspense, Unpaid, clearing difference , remittance, card scheme, BACS
& PPI.
-: Weekly Branch AR accounting reconciliations where we need to monitored whatever received in the
branch on a particular day must move to head office correctly. If any variance happened then we need
to investigate and find the resolution.
-: Monthly AR control accounts for Barclaycard partnership.
-: Handling monthly AR Issuer & Merchant Chargeback reconciliation and update the log to discuss
with FDI who is taking care of applied the amounts to customer account in Vision plus.
-: Maintained GL & AR monitory log tracker on weekly basis to update the balances.
-: Prepare monthly Unapplied Barclaycard Partnership Reconciliation.
-: Daily doing force clearing of AR Fraud accounts and monthly prepared their reconciliations.
-: Used the INTELLIMATCH tool for auto matched the account receivable reconciliations.
-: Month end update the GL, Branch & AR ageing file for Barclaycard partnership.
B) MERRICK WEALTH:
-: Daily Cardholder lending & System integrity reconciliation and Weekly GL Direct debit and Rejected
suspense reconciliation (Multiple currency-USD,EUR,GBP,SGD,CHF & HKD)of Barclays Wealth Merrick
process.
-: Keep tracking upon the SWIFTS which processed via CHAPS must be reflected in the bank statement
under Merrick which is pertains to Barclay wealth process in multiple currencies.
-: Prepare the monthly log for open items regarding Merrick GL reconciliation and discussed with
onshore on fortnightly basis.
-: Weekly Prepared Merrick Bank & AR Visa settlement reconciliations of multiple currencies.
-: Prepare Merrick chargeback weekly reconciliation.
C) Barclay Finance Partnership:
-: Daily doing force clearing for BPF (Barclays Partnership Finance) GL suspense accounts-Cheque,
BACS , CHAPS, Unidentified & Identified receipts.
-: if any items open either banking entry or manual journal then we contact the operations and
payment & banking team to resolve it.
D) Liberty Auto reconciliations:
New process is lined up where AMEX has been partnership with Barclay card just like VISA &
MASTERCARD logo used on the card.
1. Daily 6 reconciliations which we need to check on INTELLIMATCH that all entries have been
matched correctly. If any issue happened then we need to contact Auto Recon Team.
2. Monthly Prepared GL reconciliation.
Operations activity:
During closing time, manual journals which operations team posted so as a reconciler we sit with them
and upload the journals in AIMME regarding re class, bank charges, write off etc.
GENPACT -:(Oct-2008 to Oct-2011)
Genpact is a supportive for GE Capital America of U.S in different process. Worked in GE-CDF
(Commercial Distribution Finance)- Cash reconciliation (Bank Reconciliation) which is now called
Wholesale as Process Associate.
-: Preparation of various cash reconciliations template on daily basis.(Receipt & Payments)
-: Handling 3 currency cash reconciliations like USD, CAD & JPY.
-: Receipts and Payments received or payment made to customer via WIRES, ACH or CHEQUES.
-: Matching system of cash reconciliation are three ways i.e. bank statement vs. general ledger vs.
Subsystem (AIMMS).
-: Get the general ledger balance & transactions query from Oracle discoverer report. Web cash is a
tool maintained by GE which we used for download the bank statement on daily basis. Corporate
Treasury maintained this application, which has direct access into the Bank’s system to download the
transaction details in the accounts aligned with each of the business.
-: AIMS subsystem used for CDF reconciliations. Collections, payments, NSF checks, Drafts, wire, ach
are mode of payments & receipts processed in this system.
-: Pull 6 reports from AIMS and Reveal report for Check outstanding on daily basis which are used for
cash reconciliations in different accounts.
-: Preparations of open item tracker on weekly basis and work with onshore to resolve the open items
by taking weekly calls.
-: Preparation of NSF tracker (Non-sufficient fund checks) on daily basis and send to the National
processing Team.
-: Preparation of performance summary report which send on weekly basis to customer. This includes
the dashboard like GL balances, Bank Balances, NSF list & closed bank account list.
-: Prepared the FX Trade reconciliation between USD & CAD and also between USD & JPY on daily
basis.
-: Prepare the TREMA feed tracker to check all the payments or receipt via treasury against which
entry has been posted or not.
-: Keep tracking upon the closing balances of each bank accounts to see if there is any overdraft or
high balance above 1 million stand. Send to customer and inform them on timely basis.
-: In closing time of every month & quarter closed ,booked the manual Journals entries in GL where
ever it is required in cash reconciliations.
In reporting part, work on the balances explanation of each treasury code account of cash
reconciliation with proper explanation about that balances stand in GL of each accounts and give it to
the Customer in each month & QTR closed.
ADFC private Ltd.(Dec,2004 to Sept,2008)
Worked in Credit Card department of HDFC
-: Experience with the bucket 1 and o
-: Handling portfolio of the bank over and above 1 lacs of outstanding.
-: Handling platinum and titanium' portfolio of the bank.
-: Handling near about 400 accounts in a particular month.
-: Settled the accounts after giving approval negotiations from 13%-20 % of Waiver depending on the
history of the customer.
-: End of the day maintained HDFC credits cards books of accounts of customer.
-: Amount is collected in cash and cheques with receipts of card holder to reconcile them.
Rewards & Recognition:-
 Received Bronze awards from Genpact in 2009.
 Received $ 250 award from the GE-Capital customer in 2010.
 Received $ 150 award from the GE-Capital Customer in 2011.
 Lean Ace Certified from Genpact for give two lean ideas regarding process improvement and got
certificate.
 Get two Spoke and team awards in Barclays shared services within one year in 2012.
 Give one think smart idea in Barclays shared services and got implemented in 2013.
 Get Spoke award for clearing the historical open items of BPF process (Barclay’s personal
finance) for the last 2 years in 2012.
 Get award in the month of August’2013 for cleared 130000 open items for one receipt account for
BPF in SAP.
 Get the Thank you award for recognition for Singapore process and live the process within 2
months.
Education Qualification
SECONDARY : PUNJAB SCHOOL EDUCATION BOARD.
HIGHER SECONDARY : C.B.S.E
B.COM : PUNJAB UNIVERSITY, CHANDIGARDH
Strengths
 An enthusiastic and smart worker
 Positive attitude and a good grasping ability.
 A keen learner with great adaptability and works as a team member.
 Innovative in approach.
 Always deliver on time.
Personal Details
• D_O_B: 26,August,1979
• Sex: Male
• Nationality: Indian
• Marital Status: Married

More Related Content

Similar to Resume-Navneet update (20)

Resume-Navneet update
Resume-Navneet updateResume-Navneet update
Resume-Navneet update
 
Sneha Yadav
Sneha YadavSneha Yadav
Sneha Yadav
 
Divya narula new format
Divya narula new formatDivya narula new format
Divya narula new format
 
Divya narula
Divya narula Divya narula
Divya narula
 
Sami 2015 updated
Sami 2015 updatedSami 2015 updated
Sami 2015 updated
 
Resume_Sanket_Ranjit
Resume_Sanket_RanjitResume_Sanket_Ranjit
Resume_Sanket_Ranjit
 
CV5
CV5CV5
CV5
 
Vanaja CV
Vanaja CVVanaja CV
Vanaja CV
 
Surajit Mitra
Surajit MitraSurajit Mitra
Surajit Mitra
 
DEEPAKRAJ-D
DEEPAKRAJ-DDEEPAKRAJ-D
DEEPAKRAJ-D
 
CV
CVCV
CV
 
Sr. Accountant
Sr. AccountantSr. Accountant
Sr. Accountant
 
mostafa aly cv (1)
mostafa aly cv (1)mostafa aly cv (1)
mostafa aly cv (1)
 
CV of GV SAP
CV of GV SAPCV of GV SAP
CV of GV SAP
 
Ibrahim Magdy Ibrahim January 2017
Ibrahim Magdy Ibrahim January 2017Ibrahim Magdy Ibrahim January 2017
Ibrahim Magdy Ibrahim January 2017
 
Resume for Assistant Accountant
Resume for Assistant AccountantResume for Assistant Accountant
Resume for Assistant Accountant
 
Sean Nicholls C V
Sean Nicholls C VSean Nicholls C V
Sean Nicholls C V
 
CV
CVCV
CV
 
JENNIFER CV
JENNIFER CVJENNIFER CV
JENNIFER CV
 
Updated Resume of Rajesh Pandey
Updated Resume of Rajesh PandeyUpdated Resume of Rajesh Pandey
Updated Resume of Rajesh Pandey
 

Resume-Navneet update

  • 1. Navneet Singh Flat no-403,3rd floor A-22&23 Jai Bharat Enclave, Bhagwati Garden Ext. Uttam Nagar near Dwarka Mor metro station, New Delhi-110059. E-Mail: singh.singh.navneet26@gmail.com. Ph.: 9810207335 Objective Intend to have a professional career, which would explore mine skills and capabilities to a maximum, helps me and a company with whom I work. To get success in life, looking forward to a dynamic and stimulating environment, hardworking, having well time management, work responsibility besides reliability. Professional Experience Barclays Shared Services (Since Oct-2011). BARCLAY CAPITAL WEALTH MANAGEMENT: Currently working in Barclay Wealth for Nostro (cash) & stock reconciliations. Barclay’s wealth invest the money of client in shares, stock etc. An opportunity get to migrate the process from Singapore. Singapore & Hong Kong region: • The frequency of the both Nostro accounts of APAC & stock reconciliations in Singapore & Hong Kong booking center is daily. • APAC nostro reconciliations performed on IMATCH between STMT & Ledgers and stock reconciliations performed on the basis of quantity of shares on excel sheet in multiple currency. • IGT & AVALOG tool used for these reconciliations. • Statements come via SWIFT in IGT which is send by agent bank of counter party and ledger posted as Trade which is booked by respective departments in AVALOG. • Daily basis need to check the closing balances of respective counter party bank accounts is overdraft or not, if it is showing overdraft then we need to inform them in Nostro accounts to cash team and respective department in both region to take necessary actions and avoid from OD charges. • If cheques received from UOB (United overseas Bank) then need to confirm about cheques clearance via call them and give confirmation to Remittance department for post the ledgers. • MT950 is used for statements of SWIFT for Nostro. If we are not able to see MT950 statements in IGT then follow up will be done with respective counter parties. • MT535 is used for stock reconciliations and same process will be follow for missing statements. • Daily basis need to check Out of proof (OOP) for respective balance pool in APAC nostro accounts. If there is OOP showing then we need to investigate the reason and resolve the issue. • Daily basis prepare Geneva vs. Singapore & Hong Kong manual reconciliations. If there is break come then we will investigate and informed to respective department. • Manual uploads for Monthly statements of stocks, Barclays options & Flat balance pool whose stmt received via email due to not set up in IMATCH on daily basis. • If any credit statement which received in any balance pool and unable to recognize to whom we need to tagged in IMATCH then will be broadcast via email for advice. When funds remain unclaimed by anyone then we will return those funds via IGT to counter party after 7 business day. • Daily basis run the MIS report of Cash & stock reconciliations and saved in share point for business purpose. • Response on emails if any query from business regarding these Nostro & stocks accounts. • Run missing MT950 & 535 statements for both nostro & stock on a daily basis. • Monthly prepare Nostro GL report for both Singapore & Hong Kong booking centre on 1st day of business day. • Prepare Cash & stock outstanding breaks report in monthly end activity and send to business.
  • 2. Geneva Region: • Prepare MIS report of Nostro cash & stock reconciliations on daily & weekly basis and saved in share point. • Cash & stock reconciliations of Geneva in IMATCH for respective balance pool of counter parties in multiple currency. • Manual uploads of Precious metals ledgers on daily basis and reconciled with statements in IMATCH. • Prepare Missing MT 950 & MT 535 statements report on daily basis. • DCP report for treasury team prepared on daily basis and send confirmation via email. Investment Banking - Cash & Stock of Tokyo region:  Daily run MIS cash report for Tokyo.  Upload Generic template for Shanghai, Korea, Taiwan & Tokyo.  Apret stock reconciliations in securities of Tokyo.  Retained cash & stock for Shanghai, Korea & Taiwan reconciliation in I match.  Tokyo cash & stock reconciliation in old & new version of I match.  Commodities (Precious metals) reconciliations.  Prepared daily break report for Tokyo cash & stock and saved in shared drive.  Prepared Missing statements for cash & stock. BARCLAYCARD: A) Barclaycard Partnership: Worked in Barclaycard partnership reconciliations under Retail & Business Banking as Team Support Specialist (Business Analyst3) in GL Control department. Barclaycard has partnership with 6 deals (IHG, BHS, Hilton, Shopper card, Orange & Thomas cook): -: Handling daily, weekly and monthly General ledger, Bank, Branch and Account receivable reconciliations. -: Used SAP P11 software to pull data of GL balances and transactions activity and Vision plus used for view the customer data regarding Barclaycard. -: Daily GL reconciliations include Cardholder lending account (Debtors account) and System integrity reconciliations of 6 partnership deals with Barclaycard. -: Weekly GL& Bank reconciliations include : sundry accounts, bank accounts of shopper card & Thomas cook, Working capital of Thomas cook, GL chargeback & Fraud Mirror accounts. -: Monthly Joint Venture reconciliations which include SPF (solution personal finance) between Barclaycard & Little wood company which includes debtors,creditor,audit fees, accruals,A.R. control etc. -:Weekly Account receivable (AR) reconciliations regarding 6 deals with Barclaycard includes- Bill payment ,Telephone & Internet suspense, Unpaid, clearing difference , remittance, card scheme, BACS & PPI. -: Weekly Branch AR accounting reconciliations where we need to monitored whatever received in the branch on a particular day must move to head office correctly. If any variance happened then we need to investigate and find the resolution. -: Monthly AR control accounts for Barclaycard partnership. -: Handling monthly AR Issuer & Merchant Chargeback reconciliation and update the log to discuss with FDI who is taking care of applied the amounts to customer account in Vision plus. -: Maintained GL & AR monitory log tracker on weekly basis to update the balances. -: Prepare monthly Unapplied Barclaycard Partnership Reconciliation. -: Daily doing force clearing of AR Fraud accounts and monthly prepared their reconciliations. -: Used the INTELLIMATCH tool for auto matched the account receivable reconciliations. -: Month end update the GL, Branch & AR ageing file for Barclaycard partnership. B) MERRICK WEALTH: -: Daily Cardholder lending & System integrity reconciliation and Weekly GL Direct debit and Rejected suspense reconciliation (Multiple currency-USD,EUR,GBP,SGD,CHF & HKD)of Barclays Wealth Merrick process.
  • 3. -: Keep tracking upon the SWIFTS which processed via CHAPS must be reflected in the bank statement under Merrick which is pertains to Barclay wealth process in multiple currencies. -: Prepare the monthly log for open items regarding Merrick GL reconciliation and discussed with onshore on fortnightly basis. -: Weekly Prepared Merrick Bank & AR Visa settlement reconciliations of multiple currencies. -: Prepare Merrick chargeback weekly reconciliation. C) Barclay Finance Partnership: -: Daily doing force clearing for BPF (Barclays Partnership Finance) GL suspense accounts-Cheque, BACS , CHAPS, Unidentified & Identified receipts. -: if any items open either banking entry or manual journal then we contact the operations and payment & banking team to resolve it. D) Liberty Auto reconciliations: New process is lined up where AMEX has been partnership with Barclay card just like VISA & MASTERCARD logo used on the card. 1. Daily 6 reconciliations which we need to check on INTELLIMATCH that all entries have been matched correctly. If any issue happened then we need to contact Auto Recon Team. 2. Monthly Prepared GL reconciliation. Operations activity: During closing time, manual journals which operations team posted so as a reconciler we sit with them and upload the journals in AIMME regarding re class, bank charges, write off etc. GENPACT -:(Oct-2008 to Oct-2011) Genpact is a supportive for GE Capital America of U.S in different process. Worked in GE-CDF (Commercial Distribution Finance)- Cash reconciliation (Bank Reconciliation) which is now called Wholesale as Process Associate. -: Preparation of various cash reconciliations template on daily basis.(Receipt & Payments) -: Handling 3 currency cash reconciliations like USD, CAD & JPY. -: Receipts and Payments received or payment made to customer via WIRES, ACH or CHEQUES. -: Matching system of cash reconciliation are three ways i.e. bank statement vs. general ledger vs. Subsystem (AIMMS). -: Get the general ledger balance & transactions query from Oracle discoverer report. Web cash is a tool maintained by GE which we used for download the bank statement on daily basis. Corporate Treasury maintained this application, which has direct access into the Bank’s system to download the transaction details in the accounts aligned with each of the business. -: AIMS subsystem used for CDF reconciliations. Collections, payments, NSF checks, Drafts, wire, ach are mode of payments & receipts processed in this system. -: Pull 6 reports from AIMS and Reveal report for Check outstanding on daily basis which are used for cash reconciliations in different accounts. -: Preparations of open item tracker on weekly basis and work with onshore to resolve the open items by taking weekly calls. -: Preparation of NSF tracker (Non-sufficient fund checks) on daily basis and send to the National processing Team. -: Preparation of performance summary report which send on weekly basis to customer. This includes the dashboard like GL balances, Bank Balances, NSF list & closed bank account list. -: Prepared the FX Trade reconciliation between USD & CAD and also between USD & JPY on daily basis. -: Prepare the TREMA feed tracker to check all the payments or receipt via treasury against which entry has been posted or not. -: Keep tracking upon the closing balances of each bank accounts to see if there is any overdraft or high balance above 1 million stand. Send to customer and inform them on timely basis. -: In closing time of every month & quarter closed ,booked the manual Journals entries in GL where ever it is required in cash reconciliations. In reporting part, work on the balances explanation of each treasury code account of cash reconciliation with proper explanation about that balances stand in GL of each accounts and give it to
  • 4. the Customer in each month & QTR closed. ADFC private Ltd.(Dec,2004 to Sept,2008) Worked in Credit Card department of HDFC -: Experience with the bucket 1 and o -: Handling portfolio of the bank over and above 1 lacs of outstanding. -: Handling platinum and titanium' portfolio of the bank. -: Handling near about 400 accounts in a particular month. -: Settled the accounts after giving approval negotiations from 13%-20 % of Waiver depending on the history of the customer. -: End of the day maintained HDFC credits cards books of accounts of customer. -: Amount is collected in cash and cheques with receipts of card holder to reconcile them. Rewards & Recognition:-  Received Bronze awards from Genpact in 2009.  Received $ 250 award from the GE-Capital customer in 2010.  Received $ 150 award from the GE-Capital Customer in 2011.  Lean Ace Certified from Genpact for give two lean ideas regarding process improvement and got certificate.  Get two Spoke and team awards in Barclays shared services within one year in 2012.  Give one think smart idea in Barclays shared services and got implemented in 2013.  Get Spoke award for clearing the historical open items of BPF process (Barclay’s personal finance) for the last 2 years in 2012.  Get award in the month of August’2013 for cleared 130000 open items for one receipt account for BPF in SAP.  Get the Thank you award for recognition for Singapore process and live the process within 2 months. Education Qualification SECONDARY : PUNJAB SCHOOL EDUCATION BOARD. HIGHER SECONDARY : C.B.S.E B.COM : PUNJAB UNIVERSITY, CHANDIGARDH Strengths  An enthusiastic and smart worker  Positive attitude and a good grasping ability.  A keen learner with great adaptability and works as a team member.  Innovative in approach.  Always deliver on time. Personal Details • D_O_B: 26,August,1979 • Sex: Male • Nationality: Indian • Marital Status: Married