Description
Strategic Cash & Liquidity Solution (Group Treasury) is a multi-year (3+ years) programme to upgrade the legacy system which would provide benefits aligned with the Bank’s vision for Cash & Liquidity management. The focus for this position is Calypso. The role also involves collaboration within the C&L family with the Cash & Liquidity Unite Engine (CLUE) project. This is a new project that involves building an internal solution for normalization of cashflows from scratch. Understanding of the whole flow, both functionally and technically is important
Responsibilities
Strategic Cash & Liquidity Solution (Group Treasury) is a multi-year (3+ years) programme to upgrade the legacy system which would provide benefits aligned with the Bank’s vision for Cash & Liquidity management. The focus for this position is Calypso. The role also involves collaboration within the C&L family with the Cash & Liquidity Unite Engine (CLUE) project. This is a new project that involves building an internal solution for normalization of cashflows from scratch. Understanding of the whole flow, both functionally and technically is important
Responsibilities
- – Being a DevOps Engineer, work on user stories
– Coding / Unit Testing and assistance on UAT test
– End to end ownership of the user stories
– Demo to the user groups / teams
– Coordinate activities across the groups for user story delivery
– Collaborate with teams at different locations – Bucharest, Amsterdam, Mumbai
– Participate in Scrum processes/Stand ups/Retros/Refinements
– You bring seniority to the team and share your knowledge and best practices with the Calypso community
Skills
Must have
- – 5+ years Calypso experience
– Strong knowledge of the Calypso backoffice activity (message setups, trades, transfers, workflows, CRE & Accounting)
– Strong knowledge of financial markets, especially FX&MM products, C&L management and generic backoffice processing
– Good database knowledge
– Experience working on developing Unit Tests
– Project experience in financial market group treasury
– Experience working on CI/CD tools
– Functional Product Experience with Financial Markets like Money Market, FX and Securities products
– Analysis Skills
– Co-ordination skills
– Experience in Agile Way of working, Scrum etc.
Nice to have
- – Experience/Knowledge of various Java Frameworks like Spring.
– Experience in multi-location teams
– Knowledge of Treasury Cash & Liquidity Management
Languages
English: C2 Proficient
Seniority
Regular
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