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Saurin Parikh, MBA
88 Princess Drive North Brunswick, NJ 08902 732-742-2289 mobile  Saurin79@gmail.com
SUMMARY OF QUALIFICATIONS
 A proven self-starter with exceptional communication and interpersonal skills
 Ability to ensure a project or task is completed accurately and in a timely fashion
 Excellent writing skills
 Skilled at team building and creative problem solving
 Strong analytical skills and detail oriented
PROFESSIONAL EXPERIENCE
Prudential Financial, Inc.-Newark, NJ
Senior Financial Reporting Associate 2015-Present
Responsible for supporting the Expense Accounting and Reporting for Asset Management (Prudential Investments and
Prudential International Investment) and International Insurance.
 Created a reporting tool which significantly reduced time to research variances and identify key business expense
drivers for our monthly and quarterly analysis.
 Led and instructed multiple classes on how to effectively use our Oracle Business Intelligence (OBI) program for our
reporting and analysis to staff members, team leaders and managers.
 Tracking and reporting of International Affiliated activity which includes identifying costs to be charged to local countries,
established month end affiliated sub bills and track settlement of affiliated activity.
 Support the development of monthly and quarterly reporting packages to the Business Units.
 Support the quarterly account reconciliations and pass sign-off process (PASS).
Senior Financial Reporting Associate 2013-2015
Responsible for accounting and financial reporting for the month and quarterly financial close for Prudential Funding, LLC and
Prudential Securities Group.
 Created automated Reports for PSG Financials causing significant reduction in preparation during the financial close.
 Developed efficient monthly expense report for Prudential Funding, LLC
 Streamlined over 30 reports for Sox Scope and Coverage causing significant reduction in preparation
 Created and presented an award winning in-depth analysis package for Prudential Funding, LLC to upper senior
management
 Cross trained upper management in Oracle BI for efficienciesin their financial reporting
 Prepared quarterly balance sheet and income statement analysis
 Assisted in GAAP forecast and Statutory equity forecast
 Prepared month-end closed entries, reconciliations and GAAP supplemental
 Successfully prepared and maintained support for Prudential Funding, LLC annual audit and partnered with PwC
auditors
 Accounting control function including PASS
 Assisted in the Quality Review of various PASS accounts and its support
Business Analyst Associate/Accountant 2012-2013
Responsible for implementing, maintaining, and enhancing the various applications within the Financial Systems Architecture.
Working with end users and business owners to define and implement financial applications and solutions for Prudential’s
Finance community.
 Successfully streamlined our international companies to report their financials efficiently and effective during the
financial close
 Assisted in the development of queries and ad-hoc reports to support business area analysis
 Supported the development of project documentation and associated test scripts to support testing of report requests
 Cross-trained on various functions within the Reporting, Analysis, & Control Unit
 Partnered with business areas to analyze reporting needs and identify the most appropriate solution
 Analyzed GAAP Balance Sheet and Income Statement from our various International Business groups
 Acted as a Liaison between our business groups and our IT developers
Saurin Parikh
Page 2
Prudential Real Estate Investors (PREI)-Parsippany, NJ 2010-2011
Accounting/Financial Reporting Associate
Assisted in the accounting and financial reporting for real estate portfolios and certain aspects of a large commingled real estate
separate account.
 Managed properties totaling over $200 million in multiple portfolios while ensuring accurate accounting and financial
reporting
 Assisted Fund Operations with quarterly and annual financial statement and reports, including necessary analyses and
supporting workpapers and documentation that are in compliance with established guidelines
 Effectively researched accounting and financial reporting issues relative to statutory reporting, Prudential policies,
current value accounting, and generally accepted accounting principles (GAAP)
 Assisted and trained a Senior Portfolio Accountant on initiating wires in our Gateway Wire System
 Completed Equity Reconciliations (forecasting) for various commercial properties for quarterly and year-end financials
 Provided quarterly and year-end variance explanations from the property manager’s monthly package
 Assisted Asset Management in calculating the internal rate of return (IRR) for various commercial properties
 Conducted quarterly ledger analysis from our general ledger against the property manager’s general ledger
 Completed different schedules for our various property portfolios
The Chubb Corporation-Warren, NJ 2006-2010
Staff Accountant II (2009-2010)
 Prepared Schedule E for quarterly and year end public filings
 Assisted the Technical Accounting group with the Schedule P filing for year-end public statutory filings
 Assisted Senior accountant in cash analysis from one of our P&C companies and with the balance sheet
 Developed efficient processing method that reduced an extensive reconciliation workflow from 7 hours to 5 hours
 Prepared Risk Based Capital (RBC) for statutory filings.
Staff Accountant I (2008-2009)
Created and post journal entries for various cash accounts and other accounting sections. Reviewed and analyzed cash activity
for various accounts. Assisted in researching and clearing bank reconciliations issues with accounting and non accounting
areas. Analyzing the trial balance to ensure accounts appear reasonable compared to expectations. Created monthly activity
reports licensing payments made by Agency Services.
 Worked effectively with team in order to complete state filings in a timely manner
 Greatly reduced reconciliation issues from the bank reconciliation group
 Managed to maintain a zero balance in all control (suspense) accounts on a monthly basis
 Successfully able to meet deadlines in timely manner
EDUCATION
New York Institute of Technology (NYIT), Old Westbury
Master of Business Administration
 Concentrations: Professional Accounting and Accounting with IT
University of Florida (UF), Gainesville
Bachelor of Science in Business Administration
 Major: Finance
TECHNICAL EXPERTISE
Clarity, Oracle Financial, Oracle SQB, Oracle Essbase, Oracle BI, ATOM, SUMMIT, Charms, Gateway Wire System, IBM
Cognos, MRI, PeopleSoft, AM Best, Lotus Notes, Microsoft Word, Excel, PowerPoint, Masterpiece II, Masterpiece Real Time,
and IMS

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Saurin's Resume 1-14-16

  • 1. Saurin Parikh, MBA 88 Princess Drive North Brunswick, NJ 08902 732-742-2289 mobile  Saurin79@gmail.com SUMMARY OF QUALIFICATIONS  A proven self-starter with exceptional communication and interpersonal skills  Ability to ensure a project or task is completed accurately and in a timely fashion  Excellent writing skills  Skilled at team building and creative problem solving  Strong analytical skills and detail oriented PROFESSIONAL EXPERIENCE Prudential Financial, Inc.-Newark, NJ Senior Financial Reporting Associate 2015-Present Responsible for supporting the Expense Accounting and Reporting for Asset Management (Prudential Investments and Prudential International Investment) and International Insurance.  Created a reporting tool which significantly reduced time to research variances and identify key business expense drivers for our monthly and quarterly analysis.  Led and instructed multiple classes on how to effectively use our Oracle Business Intelligence (OBI) program for our reporting and analysis to staff members, team leaders and managers.  Tracking and reporting of International Affiliated activity which includes identifying costs to be charged to local countries, established month end affiliated sub bills and track settlement of affiliated activity.  Support the development of monthly and quarterly reporting packages to the Business Units.  Support the quarterly account reconciliations and pass sign-off process (PASS). Senior Financial Reporting Associate 2013-2015 Responsible for accounting and financial reporting for the month and quarterly financial close for Prudential Funding, LLC and Prudential Securities Group.  Created automated Reports for PSG Financials causing significant reduction in preparation during the financial close.  Developed efficient monthly expense report for Prudential Funding, LLC  Streamlined over 30 reports for Sox Scope and Coverage causing significant reduction in preparation  Created and presented an award winning in-depth analysis package for Prudential Funding, LLC to upper senior management  Cross trained upper management in Oracle BI for efficienciesin their financial reporting  Prepared quarterly balance sheet and income statement analysis  Assisted in GAAP forecast and Statutory equity forecast  Prepared month-end closed entries, reconciliations and GAAP supplemental  Successfully prepared and maintained support for Prudential Funding, LLC annual audit and partnered with PwC auditors  Accounting control function including PASS  Assisted in the Quality Review of various PASS accounts and its support Business Analyst Associate/Accountant 2012-2013 Responsible for implementing, maintaining, and enhancing the various applications within the Financial Systems Architecture. Working with end users and business owners to define and implement financial applications and solutions for Prudential’s Finance community.  Successfully streamlined our international companies to report their financials efficiently and effective during the financial close  Assisted in the development of queries and ad-hoc reports to support business area analysis  Supported the development of project documentation and associated test scripts to support testing of report requests  Cross-trained on various functions within the Reporting, Analysis, & Control Unit  Partnered with business areas to analyze reporting needs and identify the most appropriate solution  Analyzed GAAP Balance Sheet and Income Statement from our various International Business groups  Acted as a Liaison between our business groups and our IT developers
  • 2. Saurin Parikh Page 2 Prudential Real Estate Investors (PREI)-Parsippany, NJ 2010-2011 Accounting/Financial Reporting Associate Assisted in the accounting and financial reporting for real estate portfolios and certain aspects of a large commingled real estate separate account.  Managed properties totaling over $200 million in multiple portfolios while ensuring accurate accounting and financial reporting  Assisted Fund Operations with quarterly and annual financial statement and reports, including necessary analyses and supporting workpapers and documentation that are in compliance with established guidelines  Effectively researched accounting and financial reporting issues relative to statutory reporting, Prudential policies, current value accounting, and generally accepted accounting principles (GAAP)  Assisted and trained a Senior Portfolio Accountant on initiating wires in our Gateway Wire System  Completed Equity Reconciliations (forecasting) for various commercial properties for quarterly and year-end financials  Provided quarterly and year-end variance explanations from the property manager’s monthly package  Assisted Asset Management in calculating the internal rate of return (IRR) for various commercial properties  Conducted quarterly ledger analysis from our general ledger against the property manager’s general ledger  Completed different schedules for our various property portfolios The Chubb Corporation-Warren, NJ 2006-2010 Staff Accountant II (2009-2010)  Prepared Schedule E for quarterly and year end public filings  Assisted the Technical Accounting group with the Schedule P filing for year-end public statutory filings  Assisted Senior accountant in cash analysis from one of our P&C companies and with the balance sheet  Developed efficient processing method that reduced an extensive reconciliation workflow from 7 hours to 5 hours  Prepared Risk Based Capital (RBC) for statutory filings. Staff Accountant I (2008-2009) Created and post journal entries for various cash accounts and other accounting sections. Reviewed and analyzed cash activity for various accounts. Assisted in researching and clearing bank reconciliations issues with accounting and non accounting areas. Analyzing the trial balance to ensure accounts appear reasonable compared to expectations. Created monthly activity reports licensing payments made by Agency Services.  Worked effectively with team in order to complete state filings in a timely manner  Greatly reduced reconciliation issues from the bank reconciliation group  Managed to maintain a zero balance in all control (suspense) accounts on a monthly basis  Successfully able to meet deadlines in timely manner EDUCATION New York Institute of Technology (NYIT), Old Westbury Master of Business Administration  Concentrations: Professional Accounting and Accounting with IT University of Florida (UF), Gainesville Bachelor of Science in Business Administration  Major: Finance TECHNICAL EXPERTISE Clarity, Oracle Financial, Oracle SQB, Oracle Essbase, Oracle BI, ATOM, SUMMIT, Charms, Gateway Wire System, IBM Cognos, MRI, PeopleSoft, AM Best, Lotus Notes, Microsoft Word, Excel, PowerPoint, Masterpiece II, Masterpiece Real Time, and IMS