Job
Description
About The Role
Software DevelopmentDesign, develop, and implement robust and scalable applications using C# and .NET frameworks
. Database DevelopmentWrite and optimize SQL queries, stored procedures, functions, and triggers in Oracle databases to support application functionalities and data requirements
. Risk System DevelopmentContribute 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 UnderstandingWork with data and logic related to various capital market products such as Bonds, Repos, and Derivatives (Dx).
Requirements AnalysisCollaborate with risk managers, business analysts, and other stakeholders to understand business requirements and translate them into technical specifications.
Troubleshooting & SupportProvide technical support for existing applications, troubleshoot issues, and implement timely resolutions.
Code QualityEnsure high code quality through rigorous testing, code reviews, and adherence to best practices and coding standards
. Performance OptimizationIdentify and address performance bottlenecks in both application code (C#, .NET) and database queries (SQL, Oracle PL/SQL).
DocumentationCreate and maintain technical documentation, including design documents, functional specifications, and support guides.
CollaborationWork effectively within an Agile team environment, collaborating with other developers, QA engineers, and project managers.
Primary Skills
Technical ProficiencyC# & .NETStrong hands-on experience with C# and the .NET framework (including .NET Core).o SQLProficient in writing complex SQL queries, understanding database schemas, and data manipulation. OracleSolid experience working with Oracle databases, including PL/SQL development (stored procedures, functions, packages). Capital Markets DomainProven experience working within the Capital Markets domain.
Risk Domain ExpertiseDirect experience in the Risk domain, including understanding of concepts like Credit Risk, Market Risk, or Operational Risk.
Product KnowledgeFamiliarity with financial products such Bond Repos (Repurchase Agreements) Derivatives (Dx) Counterparty Credit Risk Management (CCM Risk) Treasury products/operations
Problem-SolvingStrong analytical and problem-solving skills with the ability to debug complex issues.
CommunicationGood verbal and written communication skills, with the ability to explain technical concepts clearly