Extensive experience of business/functional support for Opics 4.9.x
Proven track record of implementing and maintaining Opics installations - work with AUB before as consultant is needed
Detailed knowledge of Treasury/Capital market products
Knowledge of upstream and downstream workflow with Treasury application
Knowledge of writing SQL queries for user reports requirement in Opics
Should have understanding of .NET/C# architecture
Expert understanding of SQL database
5+ years of experience of working as a developer for Treasury product
Good to have basic understanding of Treasury trade flow life cycle
Good to have development experience of Opics or similar Finastra products
Good to have understanding of technical workflows in Opics
Professional Qualification Required:
None other than detailed understanding of Opics
Screen/ Test Questions
Understanding of Banking Treasury workflow including the departments involved
Knowledge of Opics screens and tables in use for day-to-day business tasks
Knowledge of SQL queries and Opics tables to write custom reports
Knowledge in creating process documentation
Knowledge of the accounting events and processes to troubleshoot issues in Opics
Knowledge of RFR and market data workflow in Opics
Maintenance and troubleshooting of Opics Online and EOD batch tasks.
Supporting business in maintenance of static data across branch specific and global screens in Opics.
Troubleshooting by capturing and analyzing error logs of any UI issues while performing any daily BAU task in Opics.
Documenting the solution design in Opics for any new business requirement as a new screen or function.
Recreation of business issues in Opics in UAT environment for analysis and follow up with Finastra if required.
Knowledge of the key DB tables associated with each module for troubleshooting of any issue.
Training users on new modules or new features in the live modules to support business requirements in Opics.
Testing and implementation of Opics workarounds as recommended by Finastra.
Knowledge of key screens and the associated tables for interfacing deals and actions on Opics modules i.e., DL, FX, FI, Repo, Swap, OTC, Caps & Floor.
Knowledge of Islamic Banking capabilities including Sukuk, Wakala, Tawarruq, Murabaha and associated workflow for commodity handling and free format confirmations.
Knowledge of generation and release of text/swift confirmations and payments from Opics.
Knowledge of Opics accounting events and the associated setup required in Opics.
Functional testing for Opics upgrades and reconciliation across Opics versions. Support for UAT of the new features in Opics upgrade.
Knowledge and troubleshooting of possible interface mechanisms in Opics using TCP/IP connection, SFTP and MQ mechanisms.
Creation of custom Opics GRSS reports for varying business needs across departments and entities.
Support and Troubleshooting for upstream/downstream data issues with systems such as Equation, Opics Risk, SWIFT Alliance, Reuters/Bloomberg, EDW.