Sandeep Bijutkar

Sandeep Bijutkar

Cost Trainee

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  • Timeline

  • About me

    Product controller

  • Education

    • Mumbai University

      -
      B. Com
    • CIMA London

      2009 - 2011
      CMA Accounting and Business/Management
    • ICWA

      2003 - 2007
      ICWA Commerce
  • Experience

    • Emerson Network India (Pvt.) Ltd

      Dec 2005 - May 2006
      Cost Trainee

      Preparation of Standard Costing Report.Preparation of Inventory Reports.Preparation of Sales & Gross Contribution MIS.Material Costing.New Product Costing.Preparation Vendor wise purchase analysis.

    • JSW Steel Ltd

      May 2006 - Apr 2007
      Cost Trainee

      Preparing daily performance/cost report and monitoring the actual technical and operating parameters/costs against planned targets.Preparing monthly projected Operating Financial statement of CR Coil/HR plate (Output products) up to EBIDTA stage indicating the Actual and Planned Production, Dispatch, Sales Rate, Raw material consumptions.Preparing and reviewing MIS report of CR Coil/HR Plate Division and indicating segment wise Production,Yield, dispatch, Raw material consumption, Sales realization, conversion cost and analysis of variances with monthly business plan.Preparing and Providing Standard costing reports to senior management with appropriate commentary for the variances.Comparison of Costing P&L with Financial Accounts and analysis of variances.Reviewing Annual Business Plan of CR coil /HR Plate Division and targeting segment wise optimum contribution and breaking the same into monthly business plan for monitoring purpose.Reviewing Cost of Captive power consumption generated from DG Set and actual cost of power utilized from MSEB, the average cost is considered in MIS Reports.Preparing financial claim of defective raw material received from upstream on the basis of Quality Control report Show less

    • GlobeOp Financial Services (P) Ltd

      Oct 2007 - Jun 2010
      Senior Associate

      Fund Accounting: Daily profit & loss reporting of various products like Equities, CFD's, and Options & Futures. Handling client queries relating to daily/Monthly P&L. Handling Auditors queries. Liaising with Client ,Prime Brokers, Custodians Agent Banks & Third Parties to resolve the Issues. Working as a fund Accountant at month end to ensure the accurate publication of the funds NAV.Reconciliation: Reconciling the P&L, Cash and Position differences between the prime broker appointed by hedge funds & the in house accounting system. Following up on all reconciliation items with the Client, Client's Prime Broker and Counterparts based in different locations. Reconciliation between Broker and Geneva (Our System) for COB. Tracking corporate actions such as rights issues, split, dividend, etc. and booking of the same. Identification of breaks & Investigating breaks occurred during reconciliation. Interacting with clients and counterparties related to resolution of day-to-day issues.Delivery of Monthly Package. Proficient in use of systems like Geneva, Bloomberg & Reuters Show less

    • Deutsche Bank

      Jun 2010 - Oct 2014
      Senior Analyst

      Product controlling

    • Cognizant Technologies Ltd

      Oct 2014 - Oct 2015
      Team Manager

      Roles and responsibilitesPrime services-SBL EMEA divisionDaily/Weekly Activities:Managing team of four associates.Reviewing daily P&L, identifying and commenting on daily P&L drivers within SLA.Follow up with MO and FO and resolving P&L breaks on daily basis.Handling queries and obtaining signoff from desk.Providing week on week commentaries & explaining P&L moves to analytics team.Reviewing, validating & explaining daily and weekly Balancesheet moves.Commenting on weekly KRI exceptions. Monthly activities:Reviewing & commenting on analytical P&L Balancesheet packs & presenting to financial controllers.Ensuring correct monthly P&L and Balancesheet transfer between entities and other businesses.Clearing control account breaks.Reviewing & signing off Red and Green balances (a.k.a. Balancesheet substantiation).Providing action plan to clear Red items and implementing the same.Adhoc Activities: Answering audit/regulatory/accounting control queires.Preparing analytical P&L/ Balancesheet packs such as QoQ,YoY as request by desk or group controllers Show less

  • Licenses & Certifications

    • ICWAI, CIMA

      WIRC of ICWAI