To act as a business solution owner of the projects' target state and support analysis included in relevant concept and methodology papers required for preparation of BRDs
To be accountable for ensuring that detailed requirements are documented in BRDs, and are duly signed off by relevant stakeholders
To ensure that the new solutions comply with internal procedures / external regulatory guidelines and project deliverables are properly understood by business stakeholders, project team, and end-users.
Analysis of new data sourcing to support ETL design and development
Elicitation of data requirements and documentation of data mapping specifications for Funds Transfer Pricing (FTP) computation
Analysis and fixing of data quality issues
Validate all downstream data extracts
To validate that the strategic system architecture proposed by Technology is fit for its business purpose and is in line with the agreed business target state
To drive prioritization taking into consideration business benefits, delivery timelines, system performance etc.
To centrally coordinate system interfaces/dependencies/change releases for the Treasury and Liquidity Reporting work streams and ensure alignment across all centres
Test planning, coordinate testing, validate test results and obtain sign off from stakeholders
To support the development of testing packs with predefined results sets
To review test cases ensuring completeness of UAT coverage
To monitor any gaps / defects identified, and work with Technology counterparts to track progress and ensure resolution