Shane Donovan
About Shane Donovan
Shane Donovan is an IMS Operations Senior Analyst-IPC at SEI in Oaks, Pennsylvania, with a background in finance and political science from California University of Pennsylvania.
Title and Current Role
Shane Donovan is currently working as an IMS Operations Senior Analyst-IPC at SEI, located in Oaks, Pennsylvania. In this role, he focuses on automating manual processes to increase volume and scalability. His responsibilities include onboarding clients, managing system integration, and collaborating with software developers on various stages of software development, including testing, implementation, and post-release validation.
Previous Experience
Before his current position, Shane Donovan served as an Enterprise Risk Management Intern at the Federal Reserve Bank of Philadelphia in 2014. During his three-month tenure, he gained valuable experience in enterprise risk management, providing him with foundational knowledge that complements his current role.
Education and Dual Degrees
Shane Donovan holds two degrees from the California University of Pennsylvania. He earned a BS in Business Administration with a focus on Finance and a BA in Political Science with a focus on Pre-Law Studies. Both degrees were obtained over a four-year period from 2011 to 2015, equipping him with a diverse educational background.
Technical Skills and Software Expertise
Shane Donovan has extensive knowledge of various external software systems, including Advent Geneva, Broadridge Revport, Hyland Onbase, and FISERV APL. This technical expertise enables him to efficiently handle tasks such as generating, reconciling, and delivering ECRs, calculating management and performance fees, and producing custom extracts for expense and revenue management.
Operational Responsibilities
In his role at SEI, Shane Donovan is responsible for generating, reconciling, and delivering 1,500 monthly and 7,500 quarterly ECRs. He handles the calculation of management and performance fees and is involved in invoice generation. Additionally, he reviews and resolves differences related to intra-system reconciliations, ensuring accuracy and compliance in all financial operations.