Project description
We've been engaged by a large Australian financial institution to assist in the build out of their Financial Markets Regulatory reporting software to support additional functionality required for MiFID II and G20 reporting (Dodd Frank, ASIC, EMIR, ...). This engagement is part of a multi-year project to expand the capabilities of the existing software to support the ongoing stream of new regulations impacting financial markets derivatives (FX, FXD, IRD, FI, ...)
We require experienced Test Analysts with broad exposure to financial markets (Including derivative trades). You will be working as tester in a team of BA's, developers, and testers on a variety of tasks.
Responsibilities
- Work in a team of Test Analysts through ST, SIT, & working with the business to execute UAT.
- Focus would be on both manual testing as well as running a set of automated test cases and verifying the results.
- Work on converting requirements to detailed test cases.
- Create detailed scenarios for various business cases to be tested, and ensure comprehensive test coverage.
- Work closely with the Business analysts to understand the test scope, scenarios and to investigate any issues that arise
- Configure, execute and report on test phases/test cycles
- In case of issues you will perform a first analysis of the underlying cause and work with the stakeholders in a constructive manner to achieve the desired outcome.
Skills
Must have
- 2+ years of experience with quality assurance of financial markets technology
- 1+ years of automation testing experience
- Strong financial markets knowledge, including derivative-type trades. For example: IRS, Bonds, FX Cash, FX Options
- Experience working with test tracking tools such as qTest, ALM, Zephyr
- Extensive experience in Manual testing
- Experience in test scenario creation
- Good understanding of SDLC and testing practices
- Test automation experience
Nice to have
- SQL
- Cucumber test automation framework
- Experience working with onshore stakeholders
- Experience in regulatory reporting. Especially MiFID II, G20 (Dodd-Frank, ASIC, EMIR)
- Experience with Automated testing using CI/CD methodologies