Responsible for gathering the Functional Requirements and Designing of the Pre-Trade and Post-Trade workflows.
Development and implementation of change requests, and performing all required testing for the Treasury Module.
Building trade auto-validation parameters and criteria for the Post-Trade workflows and Designing and testing the various Events for Trades and Contracts.
Maintenance of specific reconciliation procedures and User support to Treasury Department.
3-5 years’ experience in a reputed bank or IT organization with Murex/Treasury implementation and support experience.
Strong understanding of systems architecture, system development tools and the technology development life cycles.