Software Development: Design, develop, and implement robust and scalable applications using C# and .NET frameworks
.o Database Development: Write and optimize SQL queries, stored procedures, functions, and triggers in Oracle databases to support application functionalities and data requirements
.o Risk System Development: Contribute to the development and enhancement of risk management systems, including those related to Credit Risk, Counterparty Credit Risk Management (CCM Risk), and Treasury risk.
Financial Product Understanding: Work with data and logic related to various capital market products such as Bonds, Repos, and Derivatives (Dx).
Requirements Analysis: Collaborate with risk managers, business analysts, and other stakeholders to understand business requirements and translate them into technical specifications.
Troubleshooting & Support: Provide technical support for existing applications, troubleshoot issues, and implement timely resolutions.
Code Quality: Ensure high code quality through rigorous testing, code reviews, and adherence to best practices and coding standards
.o Performance Optimization: Identify and address performance bottlenecks in both application code (C#, .NET) and database queries (SQL, Oracle PL/SQL).
Documentation: Create and maintain technical documentation, including design documents, functional specifications, and support guides.
Collaboration: Work effectively within an Agile team environment, collaborating with other developers, QA engineers, and project managers.
Primary Skills
Technical Proficiency:
C# & .NET: Strong hands-on experience with C# and the .NET framework (including .NET Core).o SQL: Proficient in writing complex SQL queries, understanding database schemas, and data manipulation.
Oracle: Solid experience working with Oracle databases, including PL/SQL development (stored procedures, functions, packages).
Capital Markets Domain: Proven experience working within the Capital Markets domain.
Risk Domain Expertise: Direct experience in the Risk domain, including understanding of concepts like Credit Risk, Market Risk, or Operational Risk.
Product Knowledge: Familiarity with financial products such Bond Repos (Repurchase Agreements) Derivatives (Dx) Counterparty Credit Risk Management (CCM Risk) Treasury products/operations
Problem-Solving: Strong analytical and problem-solving skills with the ability to debug complex issues.
Communication: Good verbal and written communication skills, with the ability to explain technical concepts clearly
Ref. code
299602-en_GB
Posted on
17 Nov 2025
Experience level
Experienced Professionals
Contract type
Permanent
Location
Pune
Business unit
FS
Brand
Capgemini
Professional communities
Business Analysis
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