Gather, analyze, and document business requirements related to Calypso Finance and Accounting modules
Work extensively on Calypso Accounting, including P&L, General Ledger (GL), and financial reporting
Configure and support OPL (Open Product Library) for financial products and accounting rules
Collaborate with Front Office, Middle Office, and Finance stakeholders to ensure alignment of accounting flows
Perform functional design, gap analysis, and solution definition within the Calypso ecosystem
Support system integration, UAT, and production issue resolution
Ensure accurate mapping of trades to accounting entries and reconciliation processes
Participate in release planning, change management, and production support activities
Create and maintain functional documentation, test cases, and user guides