Padmi

IntelliMatch Developer

Delhi NCRPosted 2 months ago
Software engineeringSeniorFull Time; Regular
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As an experienced IntelliMatch Developer with expertise in financial reconciliation processes, particularly in cash and trade reconciliations within banking and capital markets environments, your role overview will include the following key responsibilities: - Develop, configure, and maintain reconciliations using IntelliMatch (NextGen version). - Design and manage match rules, data mapping, import formats, balance pools, companies, and reconciliation structures. - Analyze source system data and define reconciliation and mapping logic. - Configure and schedule reconciliation jobs, monitor batch executions, investigate and resolve unmatched transactions and reconciliation breaks. - Perform QA validation, support UAT activities, collaborate with business users, operations teams, and technical stakeholders. - Ensure reconciliation accuracy, completeness, and compliance with financial controls. - Troubleshoot reconciliation issues, optimize existing reconciliation processes, prepare technical documentation, and support production. In terms of qualifications, you should possess: - 4-9 years of experience in IntelliMatch/iMATCH Development. - Strong hands-on experience in cash reconciliation, trade reconciliation, and financial data reconciliation processes. - Strong understanding of data mapping, match rules, reconciliation lifecycle, and financial data flows. - Good experience with SQL including queries, joins, and data analysis. - Strong analytical, troubleshooting, and problem-solving skills. - Experience working closely with business and operations teams in financial environments. - Good communication and stakeholder management skills. Good to have skills include experience with SQL Stored Procedures, knowledge of Cognos or Crystal Reports, exposure to Banking, Financial Services, or Capital Markets domains, and understanding of reconciliation controls and financial operations workflows. As an experienced IntelliMatch Developer with expertise in financial reconciliation processes, particularly in cash and trade reconciliations within banking and capital markets environments, your role overview will include the following key responsibilities: - Develop, configure, and maintain reconciliations using IntelliMatch (NextGen version). - Design and manage match rules, data mapping, import formats, balance pools, companies, and reconciliation structures. - Analyze source system data and define reconciliation and mapping logic. - Configure and schedule reconciliation jobs, monitor batch executions, investigate and resolve unmatched transactions and reconciliation breaks. - Perform QA validation, support UAT activities, collaborate with business users, operations teams, and technical stakeholders. - Ensure reconciliation accuracy, completeness, and compliance with financial controls. - Troubleshoot reconciliation issues, optimize existing reconciliation processes, prepare technical documentation, and support production. In terms of qualifications, you should possess: - 4-9 years of experience in IntelliMatch/iMATCH Development. - Strong hands-on experience in cash reconciliation, trade reconciliation, and financial data reconciliation processes. - Strong understanding of data mapping, match rules, reconciliation lifecycle, and financial data flows. - Good experience with SQL including queries, joins, and data analysis. - Strong analytical, troubleshooting, and problem-solving skills. - Experience working closely with business and operations teams in financial environments. - Good communication and stakeholder management skills. Good to have skills include experience with SQL Stored Procedures, knowledge of Cognos or Crystal Reports, exposure to Banking, Financial Services, or Capital Markets domains, and understanding of reconciliation controls and financial operations workflows.

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