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Nitin Rajabhau Kulkarni
Phone: 09657597788 Email: nitin2900@rediffmail.com
Professional Synopsis
• Ability to work under pressure & timelines while seeking challenging and growth oriented opportunities
across the industry and deploy my competencies towards personal and professional growth.
Professional Experience
 BNY Mellon International India Pvt. Ltd Pune, Maharashtra
Nov 2008 – Present
Lead Analyst
Alternate Investment Services:
Financial Reporting Responsibilities:
• Analytical, meticulous and quality-oriented responsibility for preparation and review of annual and semi-
annual Financial Statements for high worth Hedge Fund clients.
• Key understanding of Investment industries, especially the Alternate Investment Servicing investment
products like Hedge and PE Funds.
• Expertise in USGAAP & IFRS reporting models and its application in operations of Financial Reporting.
• Appropriateness and in-depth application logic of adjustment entries while preparation of Financial
Statements.
• Assisted the appropriateness of financial statements disclosures in consonance with US GAAP & other
fund family specific Global Updates and proposed recommendations to the same to the client.
GL Accounting Responsibilities:
• Review journal entries presented by Decision Support (FM&A) and Lines of Business.
• Propose accrual entries based on research and working with line of business professionals.
• Review prepaid downloads to determine if any need to be amortized as a prepaid expense.
• Review and approve amortization schedule and prepaid input into PeopleSoft prepaid system.
• Manage the tracker to monitor when amortization of invoices in near the end to monitor if we need to
amortize the next year’s expense.
• Review trend report for direct expense for variance analysis.
• Monitor projects to determine potential accruals and to ensure assets are capitalized when they should be
and accrue for depreciation expense when necessary.
• Review fixed assets for retire/Write off assets, to move assets from one MU to another, revise the in-
service date of assets and to accelerate depreciation.
• Involved in the annual fixed asset impairment review.
• Review of General Ledger Balance Sheet account Reconciliations.
• Review of Intercompany Reconciliations.
• Review and approve all journal entries uploaded by team.
• Review procedure documents and ensure that is followed by team.
• Provide documentation, research and support during sox audit.
• Provide training to new team member.
• Cross training within team for business continuity.
System Handled:
• Oracle, PeopleSoft, Blackline, Hyperion, Catalyst, Cognos.
Achievement:
• CEO Thank you award 1st quarter of 2010 for automation in process.
• Spot Award in 4th quarter of 2010 for finding out the duplicate payment.
• Employee of the Month in July 2013 and Nov 2014 for outstanding work.
• Recognition for Drives and Delivers excellence in 2015.
 EXL Services India Pvt. Ltd. Pune, Maharashtra
July 2006 – Nov 2008
Customer Care executive – Utility Process
Responsibilities:
• Identify error in customer’s Gas bill.
• Rectify error and resubmit bill.
• Assigning work to team members.
• EOD report to supervisor.
System Handled
• SAP
Achievement:
• Awarded as ‘Value Champion’ for 1st quarter of 2008.
 Gems Automobiles Pvt. Ltd. Pune, Maharashtra
Jan 2003 – July 2006
Accounts Assistant
Responsibilities:
• Day to day Accounting Entries and cash handling.
• Perform Bank activities.
• Responsible for Bank and customer accounts reconciliation.
• Support Administration & Human Resource department.
Educational Background
Degree University / Board Passing Year
M.Com Pune 2003
G.D.C.& A. Maharashtra Board 2003
B.Com Pune 2001
Personal Details
Date of Birth 29th
Jan 1981
Marital Status Married
Passport Number F6242095
I hereby declare that all the aforesaid information’s are true and correct to the best of my knowledge
and I accept the responsibility for any misrepresentation.
Place: Pune Nitin R. Kulkarni

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Resume

  • 1. Nitin Rajabhau Kulkarni Phone: 09657597788 Email: nitin2900@rediffmail.com Professional Synopsis • Ability to work under pressure & timelines while seeking challenging and growth oriented opportunities across the industry and deploy my competencies towards personal and professional growth. Professional Experience  BNY Mellon International India Pvt. Ltd Pune, Maharashtra Nov 2008 – Present Lead Analyst Alternate Investment Services: Financial Reporting Responsibilities: • Analytical, meticulous and quality-oriented responsibility for preparation and review of annual and semi- annual Financial Statements for high worth Hedge Fund clients. • Key understanding of Investment industries, especially the Alternate Investment Servicing investment products like Hedge and PE Funds. • Expertise in USGAAP & IFRS reporting models and its application in operations of Financial Reporting. • Appropriateness and in-depth application logic of adjustment entries while preparation of Financial Statements. • Assisted the appropriateness of financial statements disclosures in consonance with US GAAP & other fund family specific Global Updates and proposed recommendations to the same to the client. GL Accounting Responsibilities: • Review journal entries presented by Decision Support (FM&A) and Lines of Business. • Propose accrual entries based on research and working with line of business professionals. • Review prepaid downloads to determine if any need to be amortized as a prepaid expense. • Review and approve amortization schedule and prepaid input into PeopleSoft prepaid system. • Manage the tracker to monitor when amortization of invoices in near the end to monitor if we need to amortize the next year’s expense. • Review trend report for direct expense for variance analysis. • Monitor projects to determine potential accruals and to ensure assets are capitalized when they should be and accrue for depreciation expense when necessary. • Review fixed assets for retire/Write off assets, to move assets from one MU to another, revise the in- service date of assets and to accelerate depreciation. • Involved in the annual fixed asset impairment review. • Review of General Ledger Balance Sheet account Reconciliations. • Review of Intercompany Reconciliations. • Review and approve all journal entries uploaded by team. • Review procedure documents and ensure that is followed by team. • Provide documentation, research and support during sox audit. • Provide training to new team member. • Cross training within team for business continuity. System Handled: • Oracle, PeopleSoft, Blackline, Hyperion, Catalyst, Cognos.
  • 2. Achievement: • CEO Thank you award 1st quarter of 2010 for automation in process. • Spot Award in 4th quarter of 2010 for finding out the duplicate payment. • Employee of the Month in July 2013 and Nov 2014 for outstanding work. • Recognition for Drives and Delivers excellence in 2015.  EXL Services India Pvt. Ltd. Pune, Maharashtra July 2006 – Nov 2008 Customer Care executive – Utility Process Responsibilities: • Identify error in customer’s Gas bill. • Rectify error and resubmit bill. • Assigning work to team members. • EOD report to supervisor. System Handled • SAP Achievement: • Awarded as ‘Value Champion’ for 1st quarter of 2008.  Gems Automobiles Pvt. Ltd. Pune, Maharashtra Jan 2003 – July 2006 Accounts Assistant Responsibilities: • Day to day Accounting Entries and cash handling. • Perform Bank activities. • Responsible for Bank and customer accounts reconciliation. • Support Administration & Human Resource department. Educational Background Degree University / Board Passing Year M.Com Pune 2003 G.D.C.& A. Maharashtra Board 2003 B.Com Pune 2001 Personal Details Date of Birth 29th Jan 1981 Marital Status Married Passport Number F6242095 I hereby declare that all the aforesaid information’s are true and correct to the best of my knowledge and I accept the responsibility for any misrepresentation.
  • 3. Place: Pune Nitin R. Kulkarni