Pradyumna Keshari Nath

  • Navi Mumbai, Maharashtra

Data Analyst


Manipulating, cleansing & processing data using Excel

Responsible for loading, extracting and validation of client data

Liaising with end-users and 3rd party suppliers

Analysing raw data, drawing conclusions & developing recommendations

Developing data analytical databases from complex financial source data

Performing daily system checks

Data entry, data auditing, creating data reports & monitoring all data for accuracy

Designing, developing and implementing new functionality

Monitoring the automated loading processes

Advising on the suitability of methodologies and suggesting improvements

Carrying out specified data processing and statistical techniques

Supplying qualitative and quantitative data to colleagues & clients

Knowledge of Mutual Fund regulations and also deregulation issues.

Ability to interact with all levels of staff including senior management

Able to work under pressure - a calm, organized approach and able to prioritize.

Experience with MS Office Tools (Excel 2013, Word 2013, power Point 2013), Visual Basic for Application (VBA).

Strong analytical and problem solving skills.

Strong Excel and Access skills.


Flat No- 404, H. No – 1079, A Wing,  Sadguru Hsg. Society, Sector-6, Koparkhairane (East), Navi Mumbai (Maharashtra), Pin: 400 709, India.


Seeking a challenging position in the field of Banking, Finance or Mutual Fund to enhance my skills and abilities, and add value to my company. To be a part of the company's growth, development, and success, which offer broad partition, immediate challenges and opportunity to take advantage of my existing skills while stretching me to develop new abilities.

Work History

Work History
Nov 2014 - Present

Officer(Operations-Business Analyst)

Axis Asset Management Limited
  • Generating Scheme Return & calculating its rank & quartile
  • Market View
  • Scheme Asset Holding Report
  • Tracking Daily Transaction Report
  • Tracking Expense Ratio for Liquid Scheme
  • Sales vs Redemption (%) Report
  • Top 5 Bottom 5 Scheme Report
  • Reruns & Sales Presentation
  • Quartile calculation
  • Managing Dashboard
  • Asset Ageing
  • Redemption Ageing
  • Top 20 Bank Report
  • Top 200 Distributor Report
  • Lump sum Distributor
  • Risk & NRI Report
  • Industry vs Axis Asset at Circle & sch. Type level
  • Axis MF vs Industry Asset at Location, Broker & Fee Type level
  • IFA Tracker
  • AMFI Monthly Data
  • RBI Report
  • Axis vs Industry Market Share
  • Classified Average AUM
  • Axis Vs Industry Market Share
  • Analyzing on Various Contest Data
  • Distributor Empanelment, RM, Hierarchy etc. Mapping
  • Managing, Uploading, Developing Various System & Applications
  • Working Various projects
Sep 2011 - Oct 2014

Sr. Executive (Sales/product Support, Operations & MIS)

L&T Investment Management Limited
  • Prepare Business MIS, Target and achievement MIS and release the same all the Branch channel for tracking the Business.
  • Prepare Market Share Report to get competition figure amongst all the AMCs.
  • Prepare Weekly, Monthly and Yearly Business strategy to improve business development. Provide Product and system support to improve the Operations Team efficiency.
  • Ensuring all Internal and External Contest roll out and results declared in timely manner.
  • Product support provide to All India Branches on Mutual fund investment and systems.
  • Always present new inputs on new implementation and development on existing process and system development.
  • Provide trainings to Branches/new users on various systems usage and Product Information.
  • Resolving the Internal and external customer queries by maintaining TAT.
  • Generate online link for Individual Financial Advisors (IFAs) after validation.
  • Distributor Due Diligence Report as per the guidelines.
  • Follow up with Documentation for Redemption & Purchase.
  • Follow up with online transaction issues.
  • Broker's Master Updating.
  • Scheme Information Document(SID), Factsheets& Key Information Memorandum(KIM) updating.
  • Distributor Empanelment.
  • Hands on knowledge in eISC, MFI &MFDex 5.3 Application.
  • Analyticaltrack on SIPs & Performance/Returns of schemes.
Mar 2011 - Sep 2011

Associate (Customer Support Executive - Operations)

Reliance Capital Asset Management Limited
  • Investigation and reconciliation for Online Investment which is made by customers Internet Banking.
  • Mutual Fund Portfolio management.
  • Handling online Mutual Fund Investment queries carried through Internet Banking.
  • Handling Mutual Fund Transactions Handling RIS (Retail Investment System) solely on Internet Banking and resolve all Customer issues regarding their Mutual Fund investment.
  • Fully fledged knowledge regarding Internet banking operations functionality.
  • Handling online Mutual Fund Investment queries carried through Internet Banking. Handling Daily Transactions and HNI clients query.
  • Liaising up & follow up with Karvy Computershare Private Limited (RTA) in various Scenarios for resolving queries.
  • Liaise on daily basis with Karvy Computershare Private Limited (RTA) for processing AMC transactions.
  • Investigating and Resolving Queries sent by front office Handling new Account opening activities by verifying all the necessary documents.
  • Hands on experience in CRM application.


Feb 2015 - Feb 2015

Bachelor of Science (BSc)

Biruppa College, Odisha
May 2006 - Jun 2009

Aircraft Maintenance Engineering

Camellia Institute of Aviation, Kolkata
Mar 2012 - May 2014

Higher Secondary (HSC)

Kashinath Mohavidyalaya, Odisha
2002 - 2003

Secondary School Certificate (SSC)

Kanak Durga Bidyapitha, Odisha


Oct 2014 - Sep 2017

National Institute of Securities Markets (NISM)

Securities & Exchange Board of India (SEBI)

Good Knowledge in MS-Office, Word (2007), Visual Basic for Applications (VBA)/Macro, PowerPoint, etc.




mutual fund