Design, execute, and maintain functional, regression, and UAT test cases for Calypso.
Test trade capture, pricing, lifecycle events, settlements, confirmations, accounting, and backoffice processing.
Validate EOD and scheduled batch processing, including scheduled tasks, engines, jobs, logs, and task status.
Test market data setup and consumption, including curves, quotes, feeds, and valuation inputs, and validate their impact on pricing, P&L, and reports.
Test Fixed Income products such as bonds and repos, including related reporting and reconciliation flows.
Test Rates/Credit Derivatives covering trade lifecycle and valuations.
Perform trade, position, cash, and report reconciliation between Calypso and downstream/related systems.
Analyse release-to-release and environment-to-environment differences across trades, reports, extracts, CSV/XML files, and other outputs.
Raise clear, evidence-based defects and support defect triage through closure.
Execute and monitor Jenkins jobs for regression packs, batch runs, test environments, and file comparisons.
Use SQL to validate trade attributes, static data, market data, and post-batch results.
Use Linux for log analysis, file handling, job monitoring, and basic environment troubleshooting.
Support test planning, change-request coverage, regression execution, and test summary/sign-off activities.
Work closely with BA, development, environment, and operations teams during releases.