1. Designation : Sr. Business Analyst (BaNCS)
Projects Handled –
1) Title: BaNCS –Implementation Aug13-Nov 14
Client: SG Paris (On Site for 3 Months in Paris) Role: Implementation BA
Overview: BaNCS is a highly efficient SEPA STP payments application used across 7
countries in Western European region. Modules include Payments, Collections, Direct Debits,
SDD & Credit Transfers, SCT, Customer & Account Management, Accounting, Pricing
Services and Interfaces.
BaNCS Sr.BA: Managed a team of 6 Business Analysts & Have handled DD & Pricing
services for implementation for HK & SGP.
2) Title: FINACLE –Implementation Jan 12-Jul 13
Client: SG India (On Site at Mumbai) Role: Treasury Application & Interfaces Lead BA
Interface BA: SG INDIA is replacing its Core Banking System (CBS) with FINACLE. All the
satellite system needs to be interfaced with FINACLE. These are:
Downstream Interface: Part of ETL Design for treasury, accounting & Reporting from
MARKET & FINACLE to ETL Layer. Mapping of Trial balance, Inventory of Trade Finance,
Loans & Commitments, CASA TD & OD and Treasury data is sent to Riskcalcuator on a daily
basis. Riskcalcuator is used for calculation of Market Risk, Credit Risk & ALM risk. Data is
sent from FINACLE ETL Layer Riskcalculator. FRALE for Collateral Management system,
R2D2 for FO BO Reconciliation application.
Upstream Interface: Vendor Payment Application for payment, SGIP for Interfaces with
FINACLE. Spot Rates, Card Rates, MIBOR Rates, Term deposit / Loans rates, Compliance
information: Black List and Negative List, Pilotage: Risk data to FINACLE.
Role includes Vendor management. Understating different systems, requirement,
architecture, and the roles played by these applications and their interdependences.
Handled DRG for Interface track and give clear requirements to Infosys team, Requirements
to SGIP & ETL Development. KT to Testing teams, Functional testing, Simulation, Go Live &
Post Go Live support.
Treasury Application (MARKET): FINACLE needs to interface with MARKET application for
forex, MM, SWAPS & Bonds Transactions, their accounting & Payments. Customers &
Account Data is sent via two way flow. While, SWIFT, RT GS & NEFT is sent via API to
FINACLE. EOD Accounting & Interday Account (Customers) is sent via TTUM File, The
Project included Re-modeling accounting in MARKET to suite FINACLE.
2. Role includes preparing Functional specs, giving requirements, KT and Walk t hrough to
Development & Testing teams, Functional testing, KT sessions to users, Migration plan,
enabling UAT testing, Go Live preparations, Go Live and Post go live stabilization period
support, handover to support.
3) Title: Forex, MM, Swaps & Bonds STP Dev Aug10-Dec11
Client : SG India Role: Business Analyst & On-site coordinator
Designation : Business Analyst (OnSite @ Mumbai from Jun 2011 to Dec 2011)
Overview : STP the trade flows from K+ to ‘MARKET’. Trades include
FOREX - CASH, Tom, Spot, Forward, FXSwaps, Time Options: Booking, Cancellations &
Utilizations.
Money Market - Call, Notice and Term loans & borrowing, and
Swaps - IRS, CIRS and OIS products
Requirement Gathering, Functional specification preparation, Review of GAP and FS,
arbitration and getting FS signoff from users. Functional testing, KT to Offshore team,
Facilitate development, testing, Pre-Production testing, UAT Plan preparation and
facilitating, Data Migrations strategy preparation, presentation, signoff, conduct rehearsals,
Data Migration and Go-Live. Post Production support during transition period, KT and
handover to Production team.