
Finance professional with nearly 1 year of experience in the Fin Reporting team at Northern Trust, specializing in invoice processing, fee calculations, and client reporting within a global custody banking environment. Hands-on experience using the Revport application for invoice generation and template setup, managing fee lifecycle events including inception, termination, blended fee rate, apportionment, and aggregated calculations. Strong exposure to valuation reports, client query resolution, and data collation for process automation initiatives. Backed by an MBA in Finance & Business Analytics and a solid foundation in accounting and financial analysis, with strong attention to detail and a client-focused approach. Seeking opportunities to grow within financial operations or different roles in a dynamic organization.
GPA: 8.67
Accounting & Budgeting
Data Analysis and Research
Attention to Detail
Portfolio Management
Financial Modeling
Financial statement
Cash Flow Analysis
Ratio Analysis
Problem solving & Decision Making
Communication Skills
Microsoft Excel
Microsoft PowerPoint
Tally
SQL (with AI)