Results-driven Sr Business Analyst with expertise in data analysis and project management at Standard Chartered Bank. Proven track record in enhancing process efficiencies and mentoring teams. Skilled in financial reporting and compliance, I excel at identifying improvement opportunities and aligning stakeholder needs with IT capabilities to drive strategic initiatives.
Overview
15
15
years of professional experience
Work History
Sr Business Analyst
Standard Chartered Bank GBS Pvt Ltd
Chennai
09.2014 - Current
Analyzed business requirements to support project development and implementation efforts.
Collaborated with cross-functional teams to identify process improvement opportunities.
Conducted data analysis to inform strategic decision-making and project prioritization.
Facilitated workshops for user feedback to refine project objectives.
Mentored junior analysts in best practices for data analysis and reporting.
Managed stakeholder relationships to align business needs with IT capabilities.
Performed gap analysis between current and future state processes for enhancement.
Developed understanding of customer workflows to provide targeted recommendations.
Senior Analyst
Wipro
Chennai
09.2013 - 09.2014
Reconciled bank statements with internal records to ensure accuracy.
Analyzed discrepancies and identified root causes in financial transactions.
Prepared monthly reconciliation reports for management review.
Utilized financial software to enhance efficiency of reconciliation processes.
Trained junior staff on best practices for reconciliation procedures.
Coordinated with departments to resolve discrepancies promptly and effectively.
Identified risks and control weaknesses within bank reconciliation processes.
Ensured compliance with policies related to banking activities.
Senior Officer
RBS Services India Pvt Ltd
Chennai
03.2010 - 09.2013
Reconciled daily cash transactions to ensure accuracy in financial reporting.
Reviewed discrepancies in cash balances and resolved issues promptly.
Maintained organized records of all reconciled transactions for audit purposes.
Reconciled intercompany accounts on a monthly basis.
Performed daily cash reconciliations of multiple accounts.