Purpose-
The Business Analyst will be part of our delivery team and will be responsible for working across all disciplines to enable and work on the transformation projects working under R&C Sub Domain. This will require working with business stakeholders capturing and transforming the requirements to a Calypso adaptable solution using frameworks including new and existing tools, processes and practices that require integration into a regular delivery cycle.
Accountabilities-
- Experience as a Calypso Business Analyst, with strong focus on Back Office / PostTrade / Finance functions in Calypso.
- Experience leading and delivering large Calypso initiatives, such as platform upgrades, regulatory change, accounting transformations, settlements or reconciliation reengineering.
- Deep handson expertise in Calypso Back Office modules, including but not limited to:
- Posttrade lifecycle (Confirmations, Matching, Amendments, Lifecycle Events)
- Cash & Securities Settlements
- Accounting & Eventbased Accounting
- Payment Processing
- Messaging (SWIFT MT/MX, ISO20022)
- Workflow configuration and exception handling
- Strong understanding of Capital Markets products (IRD, Fixed Income, Money Markets) with the ability to map trade economics to accounting entries, settlements, cash flows, and regulatory reporting.
- Proven experience in Calypso Accounting setup, including:
- Accounting rules and events
- Books, legal entities, and ledger structures
- Integration with downstream GL / Finance systems
- Handson experience with cash and securities settlement models, including SSI setup, maintenance, reconciliation, and settlement exception resolution.
- Experience working on batch scheduling and EOD/EOM processes, supporting largescale Calypso environments with multiple inbound and outbound interfaces.
- Strong capability in requirements gathering, functional analysis, and documenting Calypso solution designs, translating business and finance requirements into scalable Calypso configurations.
- Ability to work effectively with crossfunctional delivery teams, including Product Owners, RTEs, Business Analysts, Developers, Testers, Finance users, and Production Support teams, ensuring solutions are testable, auditable, and productionready.
- Experience contributing to UAT strategy, test scenarios, and verification plans, ensuring Finance and Operations signoff is embedded into delivery.
- Strong stakeholder management and communication skills, with experience handling multiple business, technology, and operations stakeholders with competing priorities.
- Working knowledge of SQL, exposure to CI/CD tools (e.g., Jenkins), and experience working in Agile delivery models is preferred.
Domain Knowledge (Mandatory)
- Solid understanding of FronttoBack trade flows, with particular depth in PostTrade, Finance, and Operations.
- Knowledge of trade lifecycle events, cash flows, accruals, P&L, reconciliations, and settlement processing.
- Familiarity with regulatory and accounting impacts on Capital Markets systems.