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Test Engineer Software Testing

Location:
Pune, Maharashtra, India
Salary:
15 INR
Posted:
October 25, 2023

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Resume:

Ajay B.Anantpurkar

Consultant/B*-Test Engineer

Capgemini India Pvt.Ltd

B4, 502, Lake town Contact No: +91-989*******

Bibwewadi, Near VIT College Email ID: ad0lzb@r.postjobfree.com

Pune - 411043

Oracle Certified Professional(OCP) Software Test Engineer with 5.1 years of Experience in Banking - Finance & Payment Domain and ETL Testing with Strong Command over UNIX and SQL,AzureDev Ops

Knowledge on SWIFT and ACH technology.

Knowledge on SWIFT messaging technique files like NACHA, MT103, MT202,, ICCS (Image-Based Cheque Clearing)

Worked on GCP (Global cash Plus) Product.

Knowledge on SEPA

Worked Integrated Payments and Payments Execution

Worked Electronic invoice presentment/payment.

Worked Mobile Testing on Payment/Transactions.

Knowledge on Data warehouse testing.

Worked on Data Staging and D-Mart

Worked on Source Database to Target Database

Worked on SAP and CAW database

Knowledge on ETL Testing.

Worked on Automation Support.

Currently working in UAT and Production Environment in Capgemini

Objective

Obtain a position at professional organization where I can maximize my Software testing skills and my quality assurance and training experience.

5.1 years’ experience in Software Testing.

Involved in Identifying test Scenario from SRS and development and execution of Test case.

Clear understanding of Software Development Life Cycle models. (SDLC).

Prepared agile test Plan.

Participate in Review Test Case.

Performed Functional, Integration and Regression testing in AzureDev Ops.

Performed UAT testing

Prepared Requirement Mapping [Traceability matrix].

Participate in Defect Triage Call on Daily Basis on ALM and JIRA

Worked on UNIX platform using Putty.

Worked on API testing on SoapUI

Involved in RFC testing.

Involved in NACHA file validation.

Involved in database testing in SQL Developer and SQL workbench.

Worked as a ETL Tester in Production Environment

Understand the Mapping sheet for all Product.

Involved communicating the same with all Stakeholders (Offshore, Onshore as well the client)

Preparing Test case, Test Script, Test Scenario, RTM review and request to Sign off from Stakeholder and Requestor

Preparing Test Summary report / Test Closure Report and request to Sign off from Stakeholder and Requestor

Attached final attestation mail in ALM and UAT sign Off mail from the Requestor.

Involved in raising Bugs in ALM-11,JIRA(Zypher) and Star Team.

Involved in Forward Congruency and Reverse Congruency

Prepared Business Unit Report, Weekly test Report and Defect Log sheet and send to higher management.

Worked on Agile Methodology, participated in scrum meeting to discuss everyday status with scrum master in AzureDev Ops.

PERSONAL SKILLS:

Comprehensive problem-solving abilities, excellent verbal and written communication skills, Ability to deal with people diplomatically, willingness to learn, lead group.

Work Experience:

Currently working with Capgemini Technology Services–India Pvt.Ltd (www.capgemini.com), Pune from July 2021 to till date as Consultant/B2.

Worked as Sr.Subject Matter Expert with Finastra- India Pvt.Ltd (www.finaxtra.com), Pune from Dec 2018 to Jul 2021

Worked as a QA Engineer with IBM (www.IBM.com), Pune from Nov 2016 to Jan 2018

Achievements:

‘Star of team’ [SOT] award from IBM for successfully deployed of Release _38401 B02_NYCB

EDUCATIONAL QUALIFICATION:

B.E. (Computer Engineering) from Pune University, Maharashtra.

M. Tech (Comp) Appear in Bharati Vidyapith, Pune

IBM

Product:

Nationwide Bulding Services- NBS (Core Banking)

Title: NBS-CDC-WP

Client: IBM India PVT.Ltd)

Tools and Technology Used: SQL Developer, ALM 11, Unisys, Jimsys, Portrate, Discovery,

Duration: from Nov 2016 to Jan 2018

Role: Software Quality Analyst

Overview:

The project consists of merging 3 major building societies in UK with the biggest building society i.e. NBS (Nationwide Building Society)

Project Description: -

The project consists of merging 3 major building societies in UK with the biggest building society i.e. NBS(Nationwide Building Society) .We are responsible for the smooth merging of the 3building societies with the NBS by focusing mainly on the migration of the customer accounts, their various financial products and services,their sensitive as well as general details . At the same time we are responsible for the security and fraud detection as well as Anti-Money Laundering activities to secure the transactions and the live customer data

Application Overview:-

NBS is Corporate Banking which provide customers with reporting all balances and transactions at any bank, in any currency, and includes comprehensive global payments capabilities. The Financial services compensation scheme FSCS guarantee scheme. The banking involves the data warehousing for transferring the feed files from one database to another. Source database is Findur which sends customers information personal details and financial information the CIS and CAW database. Multiple reports can be generated from FSCS/SCV report database. CIS and CAW database gets data from SAP-BDC. We can also handle Information Reporting for Prior Day Balances and Current Day Balances into CAW database. For loading balances we execute the stored procedures. Schedules jobs are there for transferring feed files.

Roles &Responsibilities:

•Understanding the requirements and requirement analysis.

•Helping the Lead in formation of Test Strategy.

•Preparation on Detail Test Plans, Test closure report, Daily status reports and communicating the same with all stakeholders(Offshore, Onshore as well the client)

•Active participation in continuous walkthroughs for requirement analysis & verification

•Preparation of the Test Design(preparation of test scenarios, writing Test Cases) and Executing Test Cases

•Coordination of induction and knowledge transfer for new team members.

•Providing timely data to mangers for maintaining all project related matrices and providing data for project management activities

•Design and execution of test cases with the help of ALM-11

•Defect logging and reporting into ALM

•Performed regression and defect retesting.

Finaxtra(Fundtech)

Product:

Global Payments-Cash plus (GCP)

Title: (GCP)-CASHPLUS- Cash Management

Client: Finextra (Previously Fundtech India Ltd)

Tools and Technology Used: SQL Developer, HPQC 9.2, Clear case, Java, J2ee. JIRA, Open Point Issue tracker, Star Team, Test link.

Duration: from Dec 2018 to Jul 2021

Role: Sr.Data Test Engineer

Overview: - Finaxtra(FundTech) is a leading provider of financial technology to banks and corporations of all sizes in the Americas, EMEA, and Asia-Pacific and UAEFTS (UAE Funds Transfer System), UAEDDS (UAE Direct Debit System)

Project Description: -

Cash plus is highly configurable US domestic cash management solution that provides corporate with greater operational control and lowered costs. Cash plus incorporates a full suite of functionality with secure access to account balance, account transfers, US domestic and international funds transfers, ACH origination, check management, loan and payment initiation, bank reports, and online enrollment. Cash plus is available on a software-as-a-service (SaaS) basis or as a licensed solution and offers multichannel delivery capabilities including smart phone and tablet

Application Overview:-

Cash Plus System consists of two applications Cash Star and Raptor. Cash Star is a ‘System-backside’ facing application that processes all the transactions entered by the customer user to closure. It is installed at the Holding Company and is accessed by the Cash Star users. Cash Star allows the definition of Financial Institutions, their users, customers, customer users and other set of information required for transaction initiation and processing. Raptor is the front-end used by the customer user to enter transactions in the system. It’s a web based application the customer user can access from anywhere for initiating and querying the transactions.

Casplus product consist of different modules like -ACH, Money Transfer, Book Transfer, Check Management,Administration,Balance Reporting, Messaging.

Roles and Responsibilities::

Analyze and understand the new Exchange functionality/product enhancement and test requests

Ownership of newly launched functionality testing on Mobile devices.

Test Scenario identification and design for new enhancements in product & review of all the testing artifacts

Testing of modules -ACH, Money Transfer ACH, Money Transfer, Book Transfer, Check Management, Administration,Balance Reporting, Messaging.

Design and execution of test cases with the help of test link.

Defect logging and reporting into Star team.

Performed regression and defect retesting.

Capgemini

Product:

Capgemini – City Bank (Core Banking)

Title: City Bank - Genesys

Client: City Bank.com

Tools and Technology Used: HIVE(SQL), Excel,JIRA,HPALM,Abinitio (Tech stack),CITI Risk BI Genesis portal

Duration: July 2021 to till date as Consultant/B2.

Role: Consultant/B2

Overview:

The Genesys consists 144 Line Of Business across Global Consumer Banking, CITI Private Bank, CITI Commercial Bank 400 Critical Data Elements with 40 Countries Citi Genesis Retail is single data repository to furnish consistent retail account/contract level information for various Risk and Finance reporting across all regions. It is a Centralized standard repository emerged from the objective to resolve all FED Memorandum of MOU regulatory mandates.Citi business with one global platform aims to review,attest data quality, perform variance analysis and full report validation for treasury and regulatory submissions

Project Description: -

•As part of FED mandate, convergence of data required for remediation of differences between different sources; without impacting FRB guidelines for various reporting requirements

•Consistent use of data across Business, Risk and Finance by consolidating data flows and data sources

•This project aims to create a Unified, Business, Risk and Finance Architecture and address legacy challenges of disparate systems and manual processes. It complies with the FED mandate and remediates the differences between the 2 sources of data –Risk and Finance: for financial balances and non-financial data

Application Overview:-

Citi Genesis data warehouse to furnish consistent retail account/contract level/Trade account/Loan account information for various Risk and Finance reporting across all regions.It is a Centralized standard data repository emerged from the objective to resolve all Data Validation, Data Transfer and Enrichment (Flag). Citi business with one global platform aims to review, attest data quality, perform variance analysis on Source Data to Target Data (Staging to D-Mart Data).

Validation of Source to Target Data:

File Validation(Source)

Record Level Validation (Balance related information)

Transformation(Target)

Validate the all record in IFW and run the report.UAT report check the source request.Financial Like Account Balance, GL, Balance Type and Indicative interest Rates,Delinquency,Account Level Info, Charge Off, Fee,Collateral

Roles &Responsibilities:

•Understanding the requirements and requirement analysis.

•Helping the Lead in formation of Test Strategy.

•Preparation on Detail Test Plans, Test closure report, Daily status reports and communicating the same with all stakeholders (Offshore, Onshore as well the client)

•Active participation in continuous walkthroughs for requirement analysis & verification

•Preparation of the Test Design (preparation of test scenarios, writing Test Cases) and Executing Test Cases

•Coordination of induction and knowledge transfer for new team members.

•Providing timely data to mangers for maintaining all project related matrices and providing data for project management activities

•Design and execution of test cases with the help of ALM and JIRA Defect logging and reporting into ALM

•Performed regression and defect retesting.

•Performed UAT Testing.

•Attached final attestation mail in ALM and UAT sign Off mail from the Requestor.

DECLARATION:

I hereby confirm that the facts stated in this application are true to the best of my knowledge.

Date:

Place: Pune (Ajay B .Anantpurkar)



Contact this candidate