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QUALITY ASSURANCE TESTER

Description:

Quality Assurance Tester needed to work on a major Systems upgrade for the Global Investment Bank’s Treasury business.

Responsibilities:

  • Work with the Business Analyst to ensure that the functional requirements documentation is delivered and the scope of the fix and/or enhancement has been clearly defined.
  •  Work with Development, staff to ensure that the technical specifications documentation is delivered and the scope of the fix and/or enhancement has been clearly defined.
  • Work with Business Analyst, Development, and (if applicable) other member of the QA staff to ensure that the Test Plan, Test Case, and Test Script documents provide the appropriate test coverage.
  • Develop and execute all developed test cases and test scripts to completion. 
  • Report, document, and track all defects encountered during QA testing.
  • Work with Users to secure their formal approval of QA test results in a timely manner to ensure delivery of fix and/or enhancement on the scheduled day of the production release.
  • Develop QA Completion Report to summarize the QA test, defects, and limitations.  Limitations are any problems or issues that the User is aware of but agrees to accept the assigned fix and/or enhancement into production.
  • Ensure that all documentation and correspondence is written clearly, comprehensively, and archived (when necessary).
  • Provide all necessary support to satisfy governmental, company, and departmental technology audit requirements. This all includes the incorporation of new documents or processes, maintaining a complete archive of documentation and test results, and participating in the presentation and review of this information with participating audit personnel.

Requirements:

  • At least 3-5 years working experience.
  • Calypso / Summit / Principia knowledge required; static data setup, trade entry and maintenance, analytics & workflow.
  • Accounting knowledge a plus.
  • Familiarity OTC, Money Market, Bonds, FX, Exchange Traded instruments, Deal Payments, Structured Trades, Market Data.
  • Understanding of fixed income products and derivatives in the primary and secondary markets.
  • Familiarity with products should include Swaps, Swaptions, FRAs, Caps/Floors, Deposits, Loans, MTN, CP, MBS, ABS, FX Spot, FX Fwd & FX Swap.
  • Strong written and verbal communication skills required.
  • Systems upgrade experience a plus.
  • Experience with MS Suite, Excel, Word etc.
  • Autosys, common “diff” tools & SQL a plus.
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