This role will lead the strategic planning, development, and management ofall aspects of Oracle Flexcube Trade and Treasury modules
- ResponsibleTrade Finance Modules and for End-to-end implementation of Trade Finance modules (LCs, Guarantees, Collections, Bills Discounting). Configure Letter of Credit (LC) workflows (Import/Export, Standby LCs). Set up Bank Guarantees (Performance, Bid Bonds, Advance Payment). implement Documentary Collections (Clean/Documentary) and Supply Chain Finance.
- Responsible for Configure Money Market (MM), Forex (FX), Derivatives, and Securities modules. Set up Dealing, Position Keeping, and Risk Management workflows.Implement ALM (Asset-Liability Management) and Liquidity Risk Reporting. Integrate with Reuters/Bloomberg for real-time rates and pricing
- Technicalexpertise in developing PL/SQL scripts, Oracle Forms, and Reports for Flexcube extensions. Debug batch job failures (EOD, EOM, EOQ processes). Optimize STP (Straight-Through Processing) for trade and treasury ops. Work with SOAP/REST APIs for third-party integrations (SWIFT, ERP, CRM)
- Customize Swift Message Integration (MT7xx, MT4xx) for trade transactions
- Train Trade Ops, Treasury, and Compliance teams on Flexcube workflows. Liaise with Oracle Support for L3 issue resolution.Document FSDs, Test Cases, and User Manuals
- To plan, execute and coordinate the implementationof initiative/projects related to Trade & Treasury Unit
- Contributemultiple initiatives by using management technical tools and techniques to meet the project timeline.
- Communicate regularly with the reporting Manager and other stakeholders of projects regarding status of current project initiatives and/or on the tasks assigned.
- Responsible & accountable to assist IT quality assurance in continual improvement of the Quality management system.
- All the above accountabilities include but not limited to any additional/new tasks or responsibilities assigned by the line Manager
