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Job Description
Job Responsibilities:
- 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 BusinessTeams for improvement of risk management system.
- Able to manage software-testing projects and formulate / review software test casesfocusing on the risk management features.
- Postgraduate or a Graduate / Professional qualification from a reputed institute.
- 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 bepreferred.
- 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 thesame into its implementation.
- Have experience of demonstrating application features to System Auditors.
- Coordination and leadership qualities Mandatory
Job Requirement
Additional Information
Job Type | : | Full Time |
Experience | : | 8 - 10 years |
Location | : | Mumbai, India |
Qualification | : | + Any |