. Multi-tasking Senior Representative offering more than 10 years' expertise in manual testing , swift payment. A team-oriented individual thriving on challenges. Promoting a background working for companies in the banking sector.
Overview
10
10
years of professional experience
2
2
Languages
Work History
Senior Representative, Business Technology Liaison
Bank of New York Mellon services Pvt Ltd.
06.2018 - Current
Conducted extensive manual testing on bank applications provided by vendors, ensuring thorough evaluation of functionality, usability, and reliability
Developed comprehensive test plans, meticulous test cases, and precise test scripts based on detailed requirements and design documents
Proficiently executed wide range of testing types including functional, regression, integration, system, and acceptance testing, consistently delivering high-quality results
Identified, meticulously documented, and effectively tracked software defects throughout their lifecycle, ensuring prompt resolution and validation of fixes
Collaborated closely with cross-functional teams including developers, business analysts, and stakeholders to clarify requirements and ensure comprehensive test coverage aligned with project goals
Provided mentorship to junior testers and conducted impactful knowledge-sharing sessions on testing methodologies and best practices, contributing to team skill enhancement and project success
Successfully managed recent projects TCH 3.0 and Fellow, meticulously testing every functionality against acceptance criteria meticulously documented in Jira
Implemented Agile testing methodologies with proactive approach, actively participating in daily stand-ups, sprint planning, and retrospective meetings to optimize testing processes and project outcomes
Adapted seamlessly to evolving requirements and shifting priorities within Agile projects, ensuring agile delivery of thoroughly tested functionalities
Proactively conducted exploratory testing sessions to uncover potential defects early in development cycle, enhancing overall software quality and reliability
Leveraged advanced tools such as JIRA for comprehensive test case management, defect tracking, and insightful progress reporting within Agile teams.
Analyst
Eclerx Services Pvt Ltd.
10.2016 - 06.2018
Being an analyst for equity settlement here we are involve in settlement activity for daily cash flows of derivative product i.e Swap
We send a S-2 and S-1 mail to Client or counterparty to settle the cash flows on settlement date
Solve queries if CP has any with settlement amount or calculation
Liaising with Middle Office and to resolve issue and try to settle the amount on it's predetermine date
Liaising with internal technical dept for any technical issue
If we are unable to settle the amount in pre then we do settlement in post through CBM
Reconcile Ledgers and bank entries into TLM (Recon), If there is a discrepancy between the ledger (booking) and money received then issue raised to respective agent bank, client and MO
Meet all SLA on daily basis and Meet the deadline for assign activity
Sends list high value amount Middle Office to validate the cash flows if it is valid to settle as per booking on settlement date
Raise issue to technical dept if there is a discrepancy in between post value and; late booking amount flow down into the system and booking
Daily make a Back dated comments on back dated breaks into the system
Make daily, weekly reports of cash flows, break count and regulatory report for management review
Liaising with recon team to match and de-match the break in TLM portal according to currency
Make sure team at EOD we do not miss any activity which could hit SLA.
Associate
State street Syntel Pvt LTD.
05.2014 - 08.2016
Worked with “State Street Syntel Services Pvt
Ltd.”, Plot b 1, Software Park, MIDC, Talwade, Pune- 411114
From 13st MAY 2014 to 20th AUG 2015
Worked as an Associate in US Insurance Accounting, (PAM) Portfolio Accounting and Management, here we used to do portfolio accounting for Insurance companies based in US
In this process (PAM) I am a part of Trade Team, here we do ‘Trade Processing' such as processing the Reversals, Purchase and Sales Trades, as well as ‘Trade Reconciliation' between PAM Database and custodian Database holdings on daily basis
Basically we involved into Trade processing as per the instruction received from Investment Manager or the client
Performed portfolio Transaction like Purchase, Sale, Cancelation bank loan etc on Behalf of Client
Dealing in Equities
Fixed Income Securities, Short term Instrument
Capturing Trade instruction form ITW Application and processed them into the PAM Database
Reconcile Trade Between ITW and PAM
Reducing Client Dependency by analyzing inquiries and using Researching Tools like Bloomberg, MCH, and IDC
Set up and review Security master file such as Bond, commercial paper, CMO ABS, options into system and ensure accurate entry of data into client database
Performed portfolio or position reconciliation and resolved Discrepancies if any
Sent Reconciliation Report to Clients
Updating IMT Tracker (Inquiry Management Tool) and interacting with Client to Resolve Issues
Responsible for Correcting Discrepancies and explaining monthly Differences
In account analysis and Reconciliation
Used to performed Monthly and quarterly activity such as Maturity date and coupon rate.
Education
B.com -
PCCCS
H.S.C - undefined
GHJC
S.S.C - undefined
GHJC
Skills
Teamwork and Collaboration:
Adaptability and Learning Ability:
Domain Knowledge:
Attention to Detail:
Communication Skills
Test Planning and Documentation
Timeline
Senior Representative, Business Technology Liaison
Intermediate Representative at Bank Of New York Mellon Destar Consultancy Pvt LtdIntermediate Representative at Bank Of New York Mellon Destar Consultancy Pvt Ltd