Deutschland: bevorzugt Rhein-Main Gebiet,FFM
Fachliches Scoping Testfälle, Klärung mit den verschiedenen Stakeholdern und entsprechende Erstellung/Aktualisierung von Testfällen, Testfallkatalogen
Steuerung E2E Test häuserübergreifend für verschiedene Testobjekte
o IB Außerbörslich (Summit, Murex, eBond)
o IB Börsengeschäft (Front Arena-Xetra, Marketview-Xetra 2, SIX, andere Börsen)
o Finance - Datawarehouse Trades Vorbedingungstestfälle o NostroCashManagement
o Devisen Konvertierung
o Reconciliation
Defect-Management, fachliche Bewertung, Priorisierung
Status Reporting (Testfortschritt, Blockaden)
Vor/Nachbereitung Quality Gates Teststufen
Datenpflege HP-ALM
Durchführung der Asset & Liability Migration zum Käufer
Analyse und Unterstützung bei der Aufbereitung der M&A Deal Struktur
Fachliche Prozessanalyse zur Führung der sogenannten „Expertsessions“ und Beantwortung spezifischen Fragestellungen der potenziellen Käufer
Aufbereitung von Managementvorlagen für die Entscheidungsfindung Analyse von Migrationsoptionen für unterschiedliche Assetklassen
Spezifikation der Migrationsstrategie und -konzeption.
Analyse, Konzeption, Aufbau und Test der Buchungslogik für den
Assettransfer
Analyse und Aufbau möglicher IT-Zielarchitekturen
Aufbau eines Migrationstools für die Buchung und Übertrag der
Assets&Liabilities zum Käufer basierend auf Murex
(Position/Trades/Instrument/Book Hierarchy), Murex Interface Design Asset Classes: IRS, FUT, LFUT, SFUT, Equity: Equit, Warrant, Opt, Bar, Flex, Bond, Curr: FXD, Simple Opt . Benutzung Trade Uploader
In 2016 Commerzbank has taken the strategic decision to carve-out its EMC business into a new standalone entity and to seek its listing (IPO).
As part of this exercise a complete Architecture Blueprint was established covering all areas a new investment bank requires from trading to finance and risk. Compliance, Audit, Legal, HR, Market and Static Data.
Architecture Group was central driving element in discussion with business, risk, finance and IT and single point of contact for all building blocks of the architecture.
Prime Broker Services – GS
Workshops/Deep Dive Sessions to validate product coverage, ability to process all EMC flows. Product Deep Dives for ETD, OTC Derivatives Cleared/Uncleared, Repo & Lending, Cash Equity and Securitized Derivatives, Collateral Management. Followed by Prime Service Deep Dives to define/agree the services that can serve the needs of EMC. Achievement: letter of intent with defined scope.
Trading System Beauty Contest Murex vs. Calypso
In a three month journey both vendors presented solution in various workshops and off sites. Project Plans where compiled by software implementation partners. Business Architecture and IT compiled comparison sheet for functional gaps, cost, risk, vendor rating. Build and Run the bank Cost. Steering Preparation.
Finance SAP: Vendor Workshops Deep Dives with the strategy of building best practice finance architecture. Out of sessions central accounting approach was taken into Architecture Blueprint using SAP AFI as sub ledger. Design of core components sub ledger, General Ledger, BW and financial regulatory reporting via Abacus 360. Validation of core components using main use cases of EMC business. On premise and cloud workshops to optimize TCO and assign / outsource SAP components where sensible.
Costing and Planning exercise with Software implementation partner.
Build and Run the Bank Costs.
Overall Architecture Build and Run costs compiled.
Program INnovative Securities ProcessIng.
The program aims to optimize the current Commerzbank Cowias platform. Target is a renovation of the overall platform with the strategy to “Source, Buy or Build”. All modules will be reviewed during the exercise.
As project manager I covered various core modules and executed/lead analyze.
Analyze of existing landscape including covered processes, functionality, gaps/pain points, build and run costs. As second step validation and comparison of options in target landscape. Again functional and costing comparison. Vendor validation (RFI, RFP). Assessment of the options together with the various stakeholders from business, IT and architecture. Preparation of steering committee.
Project Manager as part of the Front to Back Platform Optimization.
The aim of the SecFusion initiative is to establish a new trading platform front to back for the equity financing and repo stream. In the project mobilization phase the roadmap of the implementation, the required resource in IT (Business Analyst and Developers), infrastructure, project organization, project approach “Scrum” – Roles and Responsibilities - requires setup. Project Kick Off planned Jan 2014.
Use Case Analyse (FO/BO/Locations)
Budget Planning, Control
Resource Planning, Control,
Project Controlling and Reporting,
Stakeholder Management, IT Steering
Defect/Risk management and Escalation
Communication and tracking with external Vendor
Accounting(SAP)
Coordination with Front Office, Back Office, Central HOST
Coordination Test and Sign Off according Coba Standards
Projekt LBBW, Stuttgart, Calypso FO/BO CRD/IRD
Branche Investment Bank
Funktion Senior Consultant
Tätigkeit Aim of the project is to decommission the Opus system and migrate
existing business to Calypso. Beside that CCP House and Client
Clearing is covered via Marketwire LCH as a second business
initiative.
Running Calypso Version 11.
Following products are covered:
Interest derivatives: FRAs, Swaps, Swaptions, OverNihgtIdxSwaps,
XccySwaps, Futures, FX, Caps, Floor, Exotics;
Credit Derivatives: CDS, IndexCDS, Tranched CDS, TRS, CLN, nth to
default, nth loss.
Bond Types: fixed, float, zero, callable, Genussscheine, Schuldscheine
3rd Line FO/BO support covering daily issues
3rd Line Marketwire support
Requirement Management (HP Quality Center, ITSM)
Technical Analyst
Configuration of the Calypso system in all relevant areas: Pricing
Environment, Market Data, Trade/Message/Transfer Wfw, Message Setup,
Risk Analyze, Trader Workstations
Debugging/Fixing on Calypso Source Code Level of actual 3rd Line
Issues
Various TA topics e.g. covering migration and testing of the
replacement from Merva to Swift Alliance Gateway
Systemumfeld: MS Project, Power Point, Excel, HP Quality Centre,
IBM PC, SUN X86,TCP/IP ,Windows Vista, Solaris 8i, Solaris 10
J2SE, RMI, PL/SQL, SQL, Shell Scripting
Tibco Rendevous for Java - JMS, JAXB, iText, iReport,
JUnit, Mockobjects, JDBC 3.0/4x
JDK 1.6, Eclipse, Tortoise- Subversion, SWIFT Merva/SSA, Sybase
Dauer: 01.2012 – Today
Projekt targit GmbH, Frankfurt/Paris/Dubai
Merger Commerzbank Frankfurt
IB Platform Preparation Securities Office
Calypso FX FO/BO Reconciliation
Calypso Intersystem Cash Reconciliation
A&D Calypso SecuritiesThe Equity Financing and Repo platform needs to be extended as part of the
merger. Various releases needs to be coordinated across the streams and
delivered in time as the platform is crucial to overall migration
Functional and performance related enhancements need to be rolled out.
As final step after migration completion, introduced new back office
architecture and removed technical migration work around. Architecture Design,
Decision management
Archiving & Decommissioning of the old Calypso Securities after migration
completion. Clean Up of the stock ledger, Requirement/Vendor Management, Test
coordination and transfer to dormant state.
Project Manager as part of the Calypso FX Introduction into COBA as part of the
merger. Introduced related FO/BO and relevant Intersystem Reconciliation
components in the FX space. Architecture Design, Infra Structure Rollout,
Decision management
Project Size: 15 – 20 resources
Budget Planning, Control
Resource Planning, Control,
Project Controlling and Reporting,
Stakeholder Management, IT Steering
Defect/Risk management and Escalation
Communication and tracking with external Vendor
Accounting(SAP)
Coordination with Front Office, Back Office, Central HOST
Coordination Test and Sign Off according Coba Standards
MS Project, SAP, Power Point, Excel, HP Quality Centre,
Windows XP, Oracle, DB2, SQL Server,
City Networks Enterprise,
Smartstream Corona,
Calypso,
Kondor+,
Martini
Seurities Office
Dresdner Kleinwort Wasserstein, Frankfurt
Erweiterung das Java basierten Handelssystems.
Eines der Haupziele ist das optimieren von Prozessen durch straight-through
processing (STP), um Transanktionskosten zu verringern.
Phase 1:
Die bestehende Produktpalette im Bereich Fixed Income wird um Equity Lending
erweitert.
Phase 2:
Erweiterung um Cash Securities, Bond und Equity Trading Off Exchange.
Phase 3:
Cash Securities On Exchange Domestic, Xetra, Xontro, Puev
Phase 4:
Settlement Processing, inklusive der benötigten SWIFT Instruktionen und
Accounting
Phase 5: Hardware Migration Sun Sparc Solaris vs. Sun X86 inklusive Datenbank
Migration Oracle 8i nach 10g
Branche BankFehlerbeseitigung,Deployment und Regressionstest.
Erweiterung der bestehenden SWFIT Schnittstellen.
Anpassung der Schnitsttellen zu Backends.
Message Setup für Cash Securities - Anpassung, Erweiterung der Templates
welche zum Generieren von Settlement Nachrichten benutzt werden.
Setup des Accounting/Rules/Events für Cash Securities,
Redesign der Cash/Stock Interfaces
AWV/Paragraph 9/Meldewesen(Reporting)
Anbindung Cash Management Engine (Nostro Management, Cash Forecast)
Intercompany Netting - Systemactic Trading Erweiterung/Anpassung der
existierenden Settlement Netting Funktionalität
Konfiguration/Migration Oracle 8i nach 10g, Konfiguration X86 Sun Cluster
(Ablösung Veritas)
Verschiedenste technische Business Analysen im Rahmen des Projektes
Systemumfeld: IBM PC und Kompatible, Sun Sparc Ultra EnterpriseJUnit, Mockobjects, JDBC 3.0, Jasper
Tools: CVS, Bugzilla, ToadAnbindung einer Java-Virtual-Machine, eines Java Application
Managers. Hardware-Trace und Fehlerbeseitigung mit Hilfe des
Lauterbach Compilers.
Erstellung von Systemdokumentation und
Integrationskoordination mit ausländischen Vertragspartnern.
Systemumfeld Hardware: IBM PC und Kompatible, S-Globe, S-Gold PMB 8870Datenrecherchen,inklusive Kundenmanagmentmodul und Email Versand
Branche HandelDatenbank Performance Tuning
Systemumfeldzur Global Booking Engine (Datenbankquery via OCI Call
und Versand via Script/FTP)
Systemumfeld(Datenbankquery via Pro-C und Versand via MQM)
SystemumfeldWebserver Zertifikatsverwaltung
a.) Client Perl
b.) Server PHP
Erweiterung des Prototypes um die benötigten
Geschäftsvorfälle auf Client und Server Seite
Test und Produktionsabnahme, Support Neukunden
Einführung und Erstellung neuer Zertifikate für produktives Ordergate
Umstellung auf Apache Reverse Proxy
SystemumfeldErstellung dynamischer Reports mit Download -Funktionalität
Kommandozeilen Interface für Ordergate
a.) Prototyp Client Java
b.) Prototyp Client Perl
c.) Server
Anlyse/Desgin Overall, Implementierung der CORBA basierten
Datenbankzugriffe.
Analyse/Design/Implementierung der Schnittstelle
zum Filialsystem der Deutschen Bank
Dauerauftrag und terminierte Überweisung (in allen Formen)
Napier University of Edinburgh.
SystemumfeldProjekt: Ealg
Projektleitung/Projectmanager
Testmanager
Business Analyst
Business Architect
Smartstream Corona,
Deutschland: bevorzugt Rhein-Main Gebiet,FFM
Fachliches Scoping Testfälle, Klärung mit den verschiedenen Stakeholdern und entsprechende Erstellung/Aktualisierung von Testfällen, Testfallkatalogen
Steuerung E2E Test häuserübergreifend für verschiedene Testobjekte
o IB Außerbörslich (Summit, Murex, eBond)
o IB Börsengeschäft (Front Arena-Xetra, Marketview-Xetra 2, SIX, andere Börsen)
o Finance - Datawarehouse Trades Vorbedingungstestfälle o NostroCashManagement
o Devisen Konvertierung
o Reconciliation
Defect-Management, fachliche Bewertung, Priorisierung
Status Reporting (Testfortschritt, Blockaden)
Vor/Nachbereitung Quality Gates Teststufen
Datenpflege HP-ALM
Durchführung der Asset & Liability Migration zum Käufer
Analyse und Unterstützung bei der Aufbereitung der M&A Deal Struktur
Fachliche Prozessanalyse zur Führung der sogenannten „Expertsessions“ und Beantwortung spezifischen Fragestellungen der potenziellen Käufer
Aufbereitung von Managementvorlagen für die Entscheidungsfindung Analyse von Migrationsoptionen für unterschiedliche Assetklassen
Spezifikation der Migrationsstrategie und -konzeption.
Analyse, Konzeption, Aufbau und Test der Buchungslogik für den
Assettransfer
Analyse und Aufbau möglicher IT-Zielarchitekturen
Aufbau eines Migrationstools für die Buchung und Übertrag der
Assets&Liabilities zum Käufer basierend auf Murex
(Position/Trades/Instrument/Book Hierarchy), Murex Interface Design Asset Classes: IRS, FUT, LFUT, SFUT, Equity: Equit, Warrant, Opt, Bar, Flex, Bond, Curr: FXD, Simple Opt . Benutzung Trade Uploader
In 2016 Commerzbank has taken the strategic decision to carve-out its EMC business into a new standalone entity and to seek its listing (IPO).
As part of this exercise a complete Architecture Blueprint was established covering all areas a new investment bank requires from trading to finance and risk. Compliance, Audit, Legal, HR, Market and Static Data.
Architecture Group was central driving element in discussion with business, risk, finance and IT and single point of contact for all building blocks of the architecture.
Prime Broker Services – GS
Workshops/Deep Dive Sessions to validate product coverage, ability to process all EMC flows. Product Deep Dives for ETD, OTC Derivatives Cleared/Uncleared, Repo & Lending, Cash Equity and Securitized Derivatives, Collateral Management. Followed by Prime Service Deep Dives to define/agree the services that can serve the needs of EMC. Achievement: letter of intent with defined scope.
Trading System Beauty Contest Murex vs. Calypso
In a three month journey both vendors presented solution in various workshops and off sites. Project Plans where compiled by software implementation partners. Business Architecture and IT compiled comparison sheet for functional gaps, cost, risk, vendor rating. Build and Run the bank Cost. Steering Preparation.
Finance SAP: Vendor Workshops Deep Dives with the strategy of building best practice finance architecture. Out of sessions central accounting approach was taken into Architecture Blueprint using SAP AFI as sub ledger. Design of core components sub ledger, General Ledger, BW and financial regulatory reporting via Abacus 360. Validation of core components using main use cases of EMC business. On premise and cloud workshops to optimize TCO and assign / outsource SAP components where sensible.
Costing and Planning exercise with Software implementation partner.
Build and Run the Bank Costs.
Overall Architecture Build and Run costs compiled.
Program INnovative Securities ProcessIng.
The program aims to optimize the current Commerzbank Cowias platform. Target is a renovation of the overall platform with the strategy to “Source, Buy or Build”. All modules will be reviewed during the exercise.
As project manager I covered various core modules and executed/lead analyze.
Analyze of existing landscape including covered processes, functionality, gaps/pain points, build and run costs. As second step validation and comparison of options in target landscape. Again functional and costing comparison. Vendor validation (RFI, RFP). Assessment of the options together with the various stakeholders from business, IT and architecture. Preparation of steering committee.
Project Manager as part of the Front to Back Platform Optimization.
The aim of the SecFusion initiative is to establish a new trading platform front to back for the equity financing and repo stream. In the project mobilization phase the roadmap of the implementation, the required resource in IT (Business Analyst and Developers), infrastructure, project organization, project approach “Scrum” – Roles and Responsibilities - requires setup. Project Kick Off planned Jan 2014.
Use Case Analyse (FO/BO/Locations)
Budget Planning, Control
Resource Planning, Control,
Project Controlling and Reporting,
Stakeholder Management, IT Steering
Defect/Risk management and Escalation
Communication and tracking with external Vendor
Accounting(SAP)
Coordination with Front Office, Back Office, Central HOST
Coordination Test and Sign Off according Coba Standards
Projekt LBBW, Stuttgart, Calypso FO/BO CRD/IRD
Branche Investment Bank
Funktion Senior Consultant
Tätigkeit Aim of the project is to decommission the Opus system and migrate
existing business to Calypso. Beside that CCP House and Client
Clearing is covered via Marketwire LCH as a second business
initiative.
Running Calypso Version 11.
Following products are covered:
Interest derivatives: FRAs, Swaps, Swaptions, OverNihgtIdxSwaps,
XccySwaps, Futures, FX, Caps, Floor, Exotics;
Credit Derivatives: CDS, IndexCDS, Tranched CDS, TRS, CLN, nth to
default, nth loss.
Bond Types: fixed, float, zero, callable, Genussscheine, Schuldscheine
3rd Line FO/BO support covering daily issues
3rd Line Marketwire support
Requirement Management (HP Quality Center, ITSM)
Technical Analyst
Configuration of the Calypso system in all relevant areas: Pricing
Environment, Market Data, Trade/Message/Transfer Wfw, Message Setup,
Risk Analyze, Trader Workstations
Debugging/Fixing on Calypso Source Code Level of actual 3rd Line
Issues
Various TA topics e.g. covering migration and testing of the
replacement from Merva to Swift Alliance Gateway
Systemumfeld: MS Project, Power Point, Excel, HP Quality Centre,
IBM PC, SUN X86,TCP/IP ,Windows Vista, Solaris 8i, Solaris 10
J2SE, RMI, PL/SQL, SQL, Shell Scripting
Tibco Rendevous for Java - JMS, JAXB, iText, iReport,
JUnit, Mockobjects, JDBC 3.0/4x
JDK 1.6, Eclipse, Tortoise- Subversion, SWIFT Merva/SSA, Sybase
Dauer: 01.2012 – Today
Projekt targit GmbH, Frankfurt/Paris/Dubai
Merger Commerzbank Frankfurt
IB Platform Preparation Securities Office
Calypso FX FO/BO Reconciliation
Calypso Intersystem Cash Reconciliation
A&D Calypso SecuritiesThe Equity Financing and Repo platform needs to be extended as part of the
merger. Various releases needs to be coordinated across the streams and
delivered in time as the platform is crucial to overall migration
Functional and performance related enhancements need to be rolled out.
As final step after migration completion, introduced new back office
architecture and removed technical migration work around. Architecture Design,
Decision management
Archiving & Decommissioning of the old Calypso Securities after migration
completion. Clean Up of the stock ledger, Requirement/Vendor Management, Test
coordination and transfer to dormant state.
Project Manager as part of the Calypso FX Introduction into COBA as part of the
merger. Introduced related FO/BO and relevant Intersystem Reconciliation
components in the FX space. Architecture Design, Infra Structure Rollout,
Decision management
Project Size: 15 – 20 resources
Budget Planning, Control
Resource Planning, Control,
Project Controlling and Reporting,
Stakeholder Management, IT Steering
Defect/Risk management and Escalation
Communication and tracking with external Vendor
Accounting(SAP)
Coordination with Front Office, Back Office, Central HOST
Coordination Test and Sign Off according Coba Standards
MS Project, SAP, Power Point, Excel, HP Quality Centre,
Windows XP, Oracle, DB2, SQL Server,
City Networks Enterprise,
Smartstream Corona,
Calypso,
Kondor+,
Martini
Seurities Office
Dresdner Kleinwort Wasserstein, Frankfurt
Erweiterung das Java basierten Handelssystems.
Eines der Haupziele ist das optimieren von Prozessen durch straight-through
processing (STP), um Transanktionskosten zu verringern.
Phase 1:
Die bestehende Produktpalette im Bereich Fixed Income wird um Equity Lending
erweitert.
Phase 2:
Erweiterung um Cash Securities, Bond und Equity Trading Off Exchange.
Phase 3:
Cash Securities On Exchange Domestic, Xetra, Xontro, Puev
Phase 4:
Settlement Processing, inklusive der benötigten SWIFT Instruktionen und
Accounting
Phase 5: Hardware Migration Sun Sparc Solaris vs. Sun X86 inklusive Datenbank
Migration Oracle 8i nach 10g
Branche BankFehlerbeseitigung,Deployment und Regressionstest.
Erweiterung der bestehenden SWFIT Schnittstellen.
Anpassung der Schnitsttellen zu Backends.
Message Setup für Cash Securities - Anpassung, Erweiterung der Templates
welche zum Generieren von Settlement Nachrichten benutzt werden.
Setup des Accounting/Rules/Events für Cash Securities,
Redesign der Cash/Stock Interfaces
AWV/Paragraph 9/Meldewesen(Reporting)
Anbindung Cash Management Engine (Nostro Management, Cash Forecast)
Intercompany Netting - Systemactic Trading Erweiterung/Anpassung der
existierenden Settlement Netting Funktionalität
Konfiguration/Migration Oracle 8i nach 10g, Konfiguration X86 Sun Cluster
(Ablösung Veritas)
Verschiedenste technische Business Analysen im Rahmen des Projektes
Systemumfeld: IBM PC und Kompatible, Sun Sparc Ultra EnterpriseJUnit, Mockobjects, JDBC 3.0, Jasper
Tools: CVS, Bugzilla, ToadAnbindung einer Java-Virtual-Machine, eines Java Application
Managers. Hardware-Trace und Fehlerbeseitigung mit Hilfe des
Lauterbach Compilers.
Erstellung von Systemdokumentation und
Integrationskoordination mit ausländischen Vertragspartnern.
Systemumfeld Hardware: IBM PC und Kompatible, S-Globe, S-Gold PMB 8870Datenrecherchen,inklusive Kundenmanagmentmodul und Email Versand
Branche HandelDatenbank Performance Tuning
Systemumfeldzur Global Booking Engine (Datenbankquery via OCI Call
und Versand via Script/FTP)
Systemumfeld(Datenbankquery via Pro-C und Versand via MQM)
SystemumfeldWebserver Zertifikatsverwaltung
a.) Client Perl
b.) Server PHP
Erweiterung des Prototypes um die benötigten
Geschäftsvorfälle auf Client und Server Seite
Test und Produktionsabnahme, Support Neukunden
Einführung und Erstellung neuer Zertifikate für produktives Ordergate
Umstellung auf Apache Reverse Proxy
SystemumfeldErstellung dynamischer Reports mit Download -Funktionalität
Kommandozeilen Interface für Ordergate
a.) Prototyp Client Java
b.) Prototyp Client Perl
c.) Server
Anlyse/Desgin Overall, Implementierung der CORBA basierten
Datenbankzugriffe.
Analyse/Design/Implementierung der Schnittstelle
zum Filialsystem der Deutschen Bank
Dauerauftrag und terminierte Überweisung (in allen Formen)
Napier University of Edinburgh.
SystemumfeldProjekt: Ealg
Projektleitung/Projectmanager
Testmanager
Business Analyst
Business Architect
Smartstream Corona,
Direktester geht's nicht! Ganz einfach Freelancer finden und direkt Kontakt aufnehmen.
"Der Mitarbeiter war im Bereich Development und IT Business Analyse tätig und stellte eine zentrale Position im Team dar, das die Implementierung von Calypso in der Investmentbank zur Abwicklung von Kauf-/Verkaufabrechnung von Wertpapiergeschäften und von Wertpapierleihe-/Repo-Geschäften umfasste. Während seiner Mitarbeit in unserem Projekt verstand er es sehr gut die Business Anforderungen zu erfassen und in Calypso selbstständig zu implementieren. Neben seiner technischen und fachlichen Qualifikation sind sein Engagement und seine Einsatzbereitschaft hervorzuheben. An dieser Stelle noch einmal vielen Dank verbunden mit einer Empfehlung an andere Projektanbieter."
— Projekt Implementierung Calypso für Wertpapier Abwicklung, 10/03 - 12/06
Referenz durch Teamleiter, Investmentbank IT, vom 18.12.06