Summary
Overview
Work History
Education
Skills
Software
Certification
Declaration
Work Preference
Timeline
Generic
Ramesh Gandhi
Open To Work

Ramesh Gandhi

Fund Accounting
Coimbatore

Summary

Financial operations professional with over eight years of comprehensive experience in fund accounting, trade settlement, and multi-regional reconciliations. Demonstrated expertise in managing complex end-to-end transition projects, optimizing NAV calculations, and ensuring adherence to regulatory compliance standards within hedge fund and asset servicing domains. Skilled at leading cross-functional collaboration, driving process improvements, and delivering accurate, timely financial reporting that supports business objectives.

Overview

1
1
Certification
11
11
years of professional experience

Work History

Assistant Manager

Grant Thornton
11.2025 - Current
  • Prepared quarterly and annual financial reports for investment funds.
  • Performed NAV calculation review and validated investor allocations.
  • Managed portfolio reconciliation between internal systems and custodians.
  • Ensured compliance with IFRS, US GAAP, and fund regulatory requirements.
  • Generated investor reporting packages and management reports.
  • Identified and resolved reporting discrepancies within deadlines.
  • Improved reporting efficiency through Excel automation and process enhancements.

Emerging Lead

State Street Corporation
05.2023 - 05.2025
  • Prepare Cash/Position/Market Value Reconciliations and resolving breaks. Notify Clients of valid breaks.
  • Verifying financial statements (balance sheets, income statements, and cash flow statements).
  • Reconcile all general ledger accounts, ensuring accurate and timely reporting of investment activity.
  • Reviewing the corporate actions booked in the system and ensuring that the same is correctly reflected in the books.
  • Reviewed corporate actions and reconciled dividends/interest, ensuring accurate reflection in accounting books and alignment with broker reports.
  • Responsible for accruing/amortizing daily or monthly Fee accruals including management fees.
  • Experience of calculating GAV, Management fee, Performance fee, NAV and High-Water Mark for fund accounting.
  • Effective communication with clients on daily reporting of Estimates/NAVs/Query resolutions.
  • Contributed to the implementation of process improvements to enhance efficiency and accuracy in fund accounting operations.
  • Finalizing the month end NAV of the client and providing Investor Level Allocation reports at month-end.

Specialist

Accenture
01.2022 - 04.2023
  • Pre-matched trades on Euroclear with client securities ahead of contractual settlement dates to mitigate risk exposure and ensure smooth trade settlement.
  • Investigated and resolved post-settlement trade exceptions, collaborating with counterparties, Middle Office, and Front Office teams to ensure timely resolution.
  • Managed trade queues and monitored shared mailboxes, adhering to SLAs while addressing escalations with accuracy and urgency.
  • Analyzed trade economics and instructed manual matching by validating counterparty SSIs to resolve mismatches and discrepancies.

Senior Analyst

Quess Corp Consultancy
04.2021 - 12.2021
  • Monitored and validated trade bookings on T+0 basis, ensuring alignment with source documents and resolving discrepancies through close coordination with traders and Front Office teams.
  • Performed multi-region reconciliations for currency positions, futures, brokerage, and commission accounts across Hong Kong, Singapore, India, and other APAC markets, ensuring accuracy and compliance with SLAs.
  • Documented operational procedures and provided global market support, processing investigations with precision and meeting region-specific quality and service expectations.

Senior Analyst

State Street HCL Services
11.2015 - 11.2019
  • Led the successful migration of Cash, Trade Processing, and Asset Reconciliation processes from State Street Syntel Services (Pune), ensuring a seamless transition across multiple functional teams.
  • Managed end-to-end transition responsibilities, coordinating with onsite and offshore teams to understand client-specific fund requirements and deliver process knowledge effectively.
  • Performed cash, position, and market value reconciliations, investigated breaks, and ensured timely resolution through collaboration with brokers and internal teams.
  • Reviewed corporate actions and reconciled dividends/interest, ensuring accurate reflection in accounting books and alignment with broker reports.
  • Closely worked with client, IM and custody on resolving breaks
  • Contributed to process improvements and supported project work including migrations, conversions, and system upgrades to optimize reconciliation efficiency and accuracy.
  • Quarterly reporting to NAIC for all insurance funds by performing statutory reports (Schedule D).

Education

Bachelor of Commerce With Computer Science - Accounting And Finance

S.N.R Sons College
Coimbatore, India
04.2001 -

Skills

Hedge Fund Accounting & NAV Calculation

Trade Settlement & Reconciliation

Transition & Process Migration

Cash & Position Break Resolution

Derivatives & Securities Operations

Capital Activity Processing

Multi-Region Reconciliations (APAC/EMEA)

Corporate Actions & Broker Coordination

SOP Documentation & Process Optimization

UAT Testing

Software

PAM Accounting

MYSS

Bloomberg

Murex

CRIMS

JIRA

MCH

Euroclear

Alteryx

Certification

NISM Series 7 (Securities Operations and Risk Management)

Declaration

I hereby declare that the above-mentioned information is true and correct to the best of my knowledge and belief.

Place: Coimbatore 

Date: 

Work Preference

Job Search Status

Open to work

Work Type

Full Time

Salary Range

₹116000/yr - ₹200000/yr

Timeline

Assistant Manager

Grant Thornton
11.2025 - Current

Emerging Lead

State Street Corporation
05.2023 - 05.2025

Specialist

Accenture
01.2022 - 04.2023

Senior Analyst

Quess Corp Consultancy
04.2021 - 12.2021

NISM Series 7 (Securities Operations and Risk Management)

02-2016

Senior Analyst

State Street HCL Services
11.2015 - 11.2019

Bachelor of Commerce With Computer Science - Accounting And Finance

S.N.R Sons College
04.2001 -
Ramesh GandhiFund Accounting