Consultant - Testing
Temenos India Private Limited
Total years of experience :17 years, 1 Months
• Writing functional specification document for the BRDs received form the client place.
• Preparing Test Plans in accordance with the FSD and TSD prepared for the requirements.
• Preparing Test Plans for the defects that has to be tested in T24 (Back end Application) and Treasury Trader (Front End Application for Treasury Products).
• Mapping business requirements and coordinating in developing and implementing processes in line with pre-set guidelines.
• Testing (Manual) client queries related to FX/MM and Interest Rate Swap functionalities.
• Creating scripts for automation testing using the automation tool named System Engineering Automation Tool (SEAT).
• Documentation and maintaining the activities related to Testing and Scripting.
• Raising new defects on the bugs found during the testing phase.
• Ensuring the delivery of the client queries within the stipulated time.
• Induct new staff and ensures adequate cross training is carried out.
• Support the Management in drawing up a Personal Development Plan (PDP).
• Contributing the templates and questionnaire to the management in drawing the employee’s Skill set Matrix.
• Assisting the consultants and SMEs onsite on the queries raised by the clients.
• Supporting the Knowledge department in documentations and drawing questions for knowledge development programmes.
• Handled SWIFT Message types 300, 320, 330, 600, 399 and 395.
• Providing guidance and support to the team members to handle exceptions.
• Continuous follow-up with counterparties via email or MT 399 messages on unconfirmed trades.
• Voice confirming trades for high value amount before releasing payments.
• Creating system related alias to STP trades with format mismatches in SSI details.
• Preparing and confirming Amortization schedule for MM deals.
• Monitoring acknowledgement status for SWIFT messages for both confirmations and Settlements
• Performing second level check on the aliases created from manual matching and identifying any incorrect matching of trades.
Responsible for Matching Confirmations concluded for the Inter Bank Services, Corporate Services and Financial Institutions Clients for ABN Amro Amsterdam Treasury Operations.
Monitoring CLS-GUI for ABN Amro Amsterdam (Settlement Member) as a globe includes Third Party and ensure all the confirmations are matched before the cut-off.
Confirmation of host transaction using Swift codes, Reuters, broker confirmations, etc to ensure records held are accurate.