Project Manager Resume
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Charlotte, NC
SUMMARY:
- Manage teams over the full project life - cycle, from initial requirements gathering to final delivery and post implementation.
- Estimation and forecasting, and then to detail schedule and project plan with or without power point presentation.
- 17 years development and management experience across Confidential at Milwaukee, Confidential at Santiago Chile, Confidential at Los Angeles, Confidential, Confidential, ING, Wells Confidential at Charlotte, Confidential at Des Moines, Confidential at Portugal, Confidential at Toronto, Confidential, etc.
- Worked in multiple geographic locations US, Canada, South America (Santiago), Europe (Lisbon & Paris) & Singapore.
- Different implementation ranging from upgrade to new derivative implementation for front office or back office or both, interfacing with CME clearing, DTCC GTR (Dodd Frank), DTCC DS Match, MarketWire, MarkIT, etc.
- Very Strong knowledge of SDLC processes and worked on projects with spiral, waterfall, proto-type and agile.
- Technically very strong in multi-language, multi-platform programming and system design with expertise in project coordination, determination of scope and priority, project implementation, and training/development.
- Proficient time-management skills, able to implement project on schedule and within budget.
- Working understanding of many complex financial instruments and analyses, specifically in interest rates and commodity, but not limited to that.
- Exceptional interpersonal, communication and presentation skills.
- Mentor and leader that inspires teammates to strive for unsurpassed performance and quality deliverables.
- Excel at gathering requirements from users/clients and preparing proposals, service level agreements and project plans in order to fulfill those requirements.
- Understand how to balance expeditiousness and robust architecture.
- Strongly encourage the use of clear, easily understandable and well-documented code from team members.
- Recognize when the use of design patterns is appropriate and beneficial.
- Proficient at preparing training materials and presenting them in a classroom setting.
- Most important get work done right way the first time.
- Bachelor Of Engineering, Computer Technology, M.I.E.T., Nagpur University, India
- Certification in Advance Finance Risk Management from Indian Institute of Management (IIM)
TECHNO-FUNCTIONAL SKILLS:
Derivative Tool: Calypso, Scrittura and familiar with Endur & Summit
Application Server: JBoss, WebLogic, WebSphere, Tomcat
Database: DB2, SQL Server, Oracle
Scripting: Unix/Linux shell scripting
Worked on: Java, EJB, Spring framework & Power Builder.
WORK EXPERIENCE:
Project Manager / Principal Technical Analyst
Charlotte, NC
Confidential
Responsibilities:
- Managing FX Option implementation on their Calypso v14.4.
- Managed upgrade of their environment to Calypso v14.4.
- Swaption implementation on v12 SP6.
- On-boarding of new currency (SGD, MXN, BRL, etc.) and worked closely with quants team.
- Performance enhancements for historical (10 & 5 years’ simulation) VaR calculation.
- Coherence implementation to achieve scalability with data and calculator grid. This is new implementation in Calypso v14.
- Other performance improves by moving custom code to core Calypso
- Calypso upgrade from version v11 to v12 for their IRS clearing instance for members and risk instance for risk calculation.
- The upgrade was make way for Calypso’s Overnight Index Swap (OIS) discounting.
- Managed/lead team size of 10 (3 Calypso & 7 client) for Wells Fargo at Charlotte:
- Managing upgrade of their back-office environment to Calypso v15.1.
- Trade migration for upgrade/migration from Calypso v7.9 to v12 SP5 for front office instance, 100K portfolio of rates and credit.
- Project Manager/Leading team size of 6 (2 Calypso and 4 client) for Northwestern Mutual (NM) at Milwaukie
- Managed End User Clearing implementation - TradeWeb & Bloomberg SEF.
- Managed upgrade of their environment to Calypso v14.2.
- Managed upgrade of their environment to Calypso v13 SP2.
- Upgrade Review and recommendations.
- Project Manager/Leading team size of 12 (4 Calypso and 8 client) for Confidential at Boston & Providence RI
- Managed Interest Rates implementation on Calypso v14.2.
- Managed FX Option implementation on Calypso v14.2
- Managed Treasury workshop and scoping project.
- Technical Lead team size of 10 (6 Calypso and 4 client) for Comder at Santiago Chile
- Implementation review.
- Custom rule
- Project Manager/Lead team size of 8 (4 Calypso and 4 client) for various projects for Confidential at Los Angeles
- Technical & Functional Health Check on v13 SP2.
- Upgrade V13 SP2 review.
- Dodd Frank (DTCC Global Trade Repository) implementation at Union Bank Los Angeles for regulation requirement on Calypso v12 SP6.
- My responsibilities included manage client expectation, get work done from Calypso engineering and to have timely deliveries.
- The in-scope interest rates products were Swap, CapFloor, Swaption, CancellableSwap & non-FX Structured Product and all the trade life cycle supported events/messages.
- The message going out to DTCC would represent the current trade position and ACK/NACK back mean accepted by DTCC GTR or not.
- Union Bank had additional requirement which resulted in to customization and finally incorporated custom with core product to meet their requirements.
- Reviewed/worked on resolving issues related Calypso upgrade from V9.3 to V12 SP6.
- Technical Analyst for Confidential at Edmonton Canada
- Mini Health Check and V13 Upgrade Review
- Project Manager/Leading team size of 16 (7 Calypso and 9 client) for Confidential at Lisbon Portugal for their v12 upgrade and Credit & Securities front to back implementation & on their current FX/MM instance:
- Credit & securities front to back including complex products on their Calypso v12 SP2
- Securities front to back just started on their Calypso v12 SP2
- Bi-directional feed from/to KGR on their Calypso v12 SP2
- Upgrade to Calypso V12 SP2 from v8.4 including very complex custom code. Complexity includes message from front office Kondor and multiple downstream partners expecting different feeds.
- Project Manager & technical analyst for various projects for Confidential at Toronto Canada
- Technical Health Check
- With a trade volume of 470K live trade and complex custom reporting, TD was majorly impacted by performance.
- Health Check tool is to identify problem areas by reviewing client/server request, cache management, etc. It helps identify whether the system is utilized in the best possible way or not.
- Rates Migration, trades from Summit to Calypso v11.1.0.1. The cashflow and NPV recon was implemented to help with the migration.
- Source code remediation for IFI Calypso version 9.3. TD overrode core code illegally; this was to help them get it done the right way.
- Calypso upgrade from version 8.4 to version 11.1.0.1, 250K portfolio of rates and credit trades.
- Lead team size of 3 (2 Calypso and 1 client) for Commitments (Letter of Credit) implementation at Federal Home Loan Bank (FHLB) Des Moines. The big goal was to understand the implementation and then have this implemented at various FHLB locations (10).
- Worked on Calypso v13 requirements for Letter of Credit for FHLB Des Moines and made sure timely deliveries.
- Lead team size of 3 (1 Calypso and 2 client) for DTCC DS Match implementation/configuration at Bank of Montreal (BMO) Toronto Canada for their credit portfolio
- Implementation was on Calypso v12 Sp2.
- Worked on resolving the issues and helped them adapt to the best practice for Calypso DTCC DS Match V12 SP2 module implementation.
Lead Calypso Consultant
Charlotte, NC
Confidential
Responsibilities:
- Analyzed, designed & implemented withhold tax (1099-Int) workflow using Calypso withhold tax framework.
- Created custom 1042-S report using Calypso reporting framework, with values in both currency.
- Implemented new feed to FACS for Deposit & Loan (Money Market). FACS system is designed to do three way recon between trial balance, GL and raw trade feed.
- Trial Balance & GL extracted from database, as prior task saves these files as blob.
- Implemented new feed to Credit Risk for Deposit & Loan (Money Market).
- Analysis and resolved issues with respect to new infrastructure and operation system.
- Wells Fargo’s Calypso Derivative Back Office (CDBO) is Back Office implementation of Calypso, and the application interest is realized cash of a trade across Fixed Income, Credit, and Commodity Derivatives. It is the current Invoice, Accounting & settlement system for over-the-counter trading, and includes extracts/feeds to different downstream partners.
- Analysis Interest Rates and Commodity integration effort involving rebranding to ensure customer documents and systems reflect the Wells Fargo name and logo
- Analysis and consolidation trade activity for overlapping consolidated counterparties, and the consolidation of General Ledger postings and settlement processing.
- Implemented changes in Settlement (including netting) and Invoices across Commodity and Interest Rates.
- Split code base between front and back office, so as BO development goes independent of FO.
- Consolidate and migrate custom features on to Calypso V10 from Calypso V7.
- Merge multiple database script with custom changes so as process completes well in conversion window.
- Added new Pricer Measure and Accounting Event to facilitate physical commodity (NG & NGL) accounting.
- Custom implementation in transfer engine to address different physical commodity transfer execution.
- Implemented netting and settlement for scheduled/actualized transfer and generate draft/final invoicing respectively. Extracts (GL, Credit Risk, etc.) enhanced to include physical trades.
- Supported user acceptance test, production role out and post production queries.
- Validate trade messages (new, resets, prices, etc.) received by back office and check correctness of generated trade ticket, transfer, settlement and account posting.
- Write script to validate reports and assist testing processes (QA and user), support UAT & production roll out.
- Implemented across Interest Rate products - Swap, CancellableSwap, XCCYSwap, InflationSwap, Swaption, CapFloor, DigitalCap, InflationCapFloor, etc
- Implemented across Structured Credit Products - CreditDefaultSwaps, LCDS, CDSIndex, ABSCDO, etc.
- FAS 133 implementation - Accrual Accounting and straight line Amortizing Fee over Fee period.
- Implementation of Pricer Measures & Accounting events to facilitate accounting.
- Custom implementation in transfer engine to address Fee only transfer for trade in specific trade status.
- Custom extracts and reports for downstream partners.
- Data mapping implemented for Interest Rate Swaps, Fixed-Float – Single Currency, NOT Cross Currency, fixed and/or float leg able to reference a Bond, fixable upfront or in arrears, Compounding, Averaging. Regular cash flow schedules, adjusted or unadjusted calculation periods
- Data mapping implemented for Interest Rate Swap Options (Swaptions) on an underlying Fixed-Float IRS – European style only, NOT American or Bermudan, Cash or physical settlement
- Amendments, Novation, Option Exercises and Terminations implemented in Calypso to meet data requirements for confirmation generation in Scrittura.
- Scrittura workflow modified for manually & electronically (DTCC) confirmations.
- Implementation of new and broken templates in Scrittura. Confirmation templates added for Amendments, Novation, Option Exercises and Terminations.
- Implementation an upstream link from Scrittura (publisher) to Calypso (subscriber), for confirmation status.
- Commodity confirmation implemented in Scrittura as front office migrated from Calypso to Endur. In scope assert classes were Commodity Swap, Commodity CapFloor & Commodity Swaption.
- Added templates for non-spot FX confirmation.
- Changes made to outbound workflow (manual and DTCC) to achieve STP in T+0. Email inbound workflow added.
- Study the Derivative Confirms (Documentation) business user which uses Scrittura to manage outgoing and incoming trade confirms with different counterparties, and present gaps/requirement to achieve STP in T+0.
- Project plan and schedule to support estimation and forecasting for the implementation.
- Implemented plug and play (using spring framework) feature to maintained relationships, member to membership, and different coverage type for the member and dependents.
- Implemetned SOAP calls (XML over HTTP) using Servlet/JSP, where SOAP object was returned by caller.
Sr. Software Engineer
Confidential
Responsibilities:
- Implement changes to Foreign Currency-Over Draft and posting to Bank’s People soft General Ledger System (PSGL) in SGD.
- Implement Basel-II for Non-Performing Loan and Periodic / Delinquent, where actions were captured and proper action taken by the credit officers to resolve problem credits and make specific provisions.
- Implement change on Write Off Initiate, Write Off Update & Forecasting processes. PAM provides the consolidated total credit exposure or credit facilities for each borrower.
- Implement change to Batch Process, Form & Reports, which is like a central storage location for credit facilities and outstanding due from borrowers for NPL and Delinquents.
- The initiative was to analysis, list requirement and effort required to move from dyeing system to new system.
- Represent IBM AMS for user requirement, migration, co-ordination (partly), estimation and forecasting for
- Document Capture for Branches (DCB), Remittance Express (RX),
- Customer Express (CX), Signature Express (SX), Bill Express (BX).
- Schedule and project plan with estimation and forecasting.
- Implement administrator application (PowerBuilder & Oracle) for Periphonic Interactive Voice Response (IVR) application to control IVR workflow
- Analysis and assist changes on Periphonic application (Periphonic, Oracle and shell program on SunOS)
- Prepare an Application Information Document to facilitate transition and bring application offshore.
- Private Banking Information System (PBIS)
- Signature Inquiry System SIS-SX, International Signature Inquiry System SISI - TDB, Admin Signature Inquiry System ASIS, GIRO Verification System GVS, Document Capture for Branches DCB , CustInfo Express CX , PowerImage
- Build a team to maintain and support future changes
- Estimation, forecasting and project plan for execution of the enhancement from offshore.
Software Engineer
Confidential
Responsibilities:
- Study NetDetector & NetVCR, which is a non-intrusive network security monitoring system that provides the second or third line of defense against unauthorized network intrusion and abuse when used in conjunction with a firewall or with third-party intrusion detection systems.
- Enhance NetDetector to provides the capability to record and analyze traffic streams at high data rates to “detect” and “catch” anomalous activity.
Software Consultant
Confidential
Responsibilities:
- Leave Management and Shift Management for Confidential , India: Developed application with Security, Master Information, Leave Management, Shift Management, Employee Information, and Administration modules.
- Portal for Confidential: Developed and maintained Confidential portal, which was used as platform for promotion of their products. Different modules worked on comparison, corporate, product, Hyundai care, downloads, reports, finance, etc.
- Office Confidential: Developed and maintained project which primarily deals with analysis of huge data of Confidential for I Confidential.
- Claims Administrator 8.0 Reports Rewrite for Confidential: Implemented changes to Claims Administrator Report Rewrite, which presents users with varied criteria selection for building reports. The system include Reports like, Last Import Summary, Inquiry, Edit Statistics, Productivity, Remittance, Clearinghouse Transmissions, Claim Management, Queue Management, Report Builder and Requirement.
- Visitor Management System for NHAI: Developed Visitor Management System which automated exchange of message between employees and the reception.
