Testing Manager (Risk & Finance Domain)

  • 100 - 150K, + Bonus
  • Singapour, Singapore
  • CDI, Plein-temps
  • Capgemini Singapore Pte Ltd
  • 19 oct. 17 2017-10-19

Required Experience 12 – 15 Years Required Designation Manager / Senior Manager / Portfolio Manager/ Director

Finance Domain

~~Roles and Responsibilities •        Responsible to manage the testing for Finance line of business for a bank in Singapore
•         Prepare test strategy, planning and execution
•         Review test cases, and execution
•         All reporting internal and external – Status, metrics, financials
•         Responsible for due diligence and come out with the application transition plan
•         Responsible for testing service on the agreed SLAs
•         Responsible to manage and optimize pyramid
•         Manage profitability of the project
•         Responsible for implementing transformation activities and levers in the project
•         Work closely with client in making testing successful
Required Skills •         Need deep domain knowledge in Finance
  Finance Data mart
  General Ledger System (SAP)
  Goods And Service Tax
  Procurement and Expense Management System
  MIS Dashboard
  Consolidated Financial Reporting
  MAS Reporting System - MAS610, MAS613 Top 20
  BASEL - RWA & S29
  HKMA Regulatory Reporting System
•         Should have Test Management experience and good customer management experience
Required Experience 12 – 15 Years
 

Risk Domain

~~Roles and Responsibilities •       Responsible to manage the testing for Risk line of business for a bank in Singapore
•       Partner and assist other LOB Leads of Finance, Compliance, Regulatory Reporting in oversight and management of testing for the overlaps in functional domains
•       Prepare test strategy, planning and execution
•       Review test cases, and execution
•       All reporting internal and external – Status, metrics, financials
•       Responsible for due diligence and come out with the application transition plan
•       Responsible for testing service on the agreed SLAs
•       Responsible to manage and optimize pyramid
•       Manage profitability of the project
•       Responsible for implementing transformation activities and levers in the project
• Work closely with client in making testing successful
Required Skills •        Candidate should have an expert understanding in two and a broad understanding of the other domains in the risk space
o   Credit risk in banking book
o   Counterparty risk
o   Market risk
o   Operational risk
o   Asset liability management  (liquidity & interest rate risk)             
•      Should have strong expertise on leading risk solutions like SAS, Algorithmics,  Murex, Moody’s Analytics 
•       Should have a good understanding of the Basel II and III implementation and lifecycle for any of the above domains.
•       A strong appreciation of banking compliance including KYC-AML, fraud, FATCA and regulatory reporting is expected. 
•      Should have test management experience and good customer management experience
Required Experience 12 – 15 Years