Have a thorough knowledge of risk management setup of Client, Trader and at Broker level for Cash Equities and F&O.
Understanding testing principles / practices and prepare design, and execute test cases.
Able to communicate effectively with User / IT teams / Vendors as well as with Business Teams for improvement of risk management system.
Able to manage software-testing projects and formulate / review software test cases focusing on the risk management features.
Exposure to Trading related applications and integration testing on the Equities and Derivatives side is essential.
To have experience in testing and implementation of Cash / Derivatives Risk Management Software like Omnesys, Greeksoft, Reliable, Odin, UL Iris etc. will be preferred.
Candidates having an excellent understanding of the stock broking industry and having relevant experience in the Risk Management processes.
Exposure to web applications and desktop application testing will be an added advantage.
Proficiency in written and spoken English with good verbal and communication skills, having an ability to interpret Stock Exchange Circulars and Notices and translate the same into its implementation.
Have experience of demonstrating application features to System Auditors.
Coordination and leadership qualities
Exposure of working in back-office role in Capital Marker/Equity Sector.
Experience with Derivatives, operations and Risk Management Software such as Omnesys, Greeksoft, Reliable, Odin, UL Iris.
5 to 6 years of minimum experience with FNO product knowledge background.