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System Analyst Senior Technical

Location:
Freehold, NJ
Posted:
May 26, 2025

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Resume:

STAN NOVOSELOV **********@*****.***

917-***-****

SUMMARY OF QUALIFICATIONS:

Dedicated results-driven professional with over 20 years of experience in Investment & Retail Banking delivering large scale projects for compliance, audit, risk management, custody, Settlement and Clearing functions.

Mainframe and Object-Oriented Technology and PC computer systems.

Process flow analysis, product architecture and design best practices, experience working with developers, experience with cloud solutions and/or RDBS, basic competence in at least one programming language (mainframe, java script) requirements definition, configuration workbook, data models, detailed functional design, executive summaries, project plans.

Cash Management (CAMS), RCDC, SWIFT messaging, Regulatory/Fed reporting, AML and Claims processing

Well versed in team management processes having successfully led teams in several locations with oversight of multiple products

Significant experience working on different technology platform such as waterfall and agile

Excellent team player that effective foster collaboration across the organization

TECHNICAL SKILLS:

Headless horseman for the JAVA, Teradata SQL, POSTMEN, Dovetail Payments Platform, MQ viewer,CA-Easytrieve, DYL-280, MS Project, MS Excel, MS Access, Power Point,, Oracle,Visio Toll, MEGA tool, Time Wizard, Outlook, JIRA, ES 9000, IBM 30XX, IBM PCs, COBOL, COBOL, COBOLII, COBOL 390/LE, VSE COBOL, CICS, DB2, DB2 Stored, Procedures, SQL SVR, Oracle, IBM MQ Series, ITSM, AGILE methodology and compatible.

EXPERIENCE:

Senior Technical Business System Analyst

Santander Bank

03/21 – present

As a senior Technical Business System Analyst, my responsibilities include analysis, development, and integration of the conversion process of the Santander payment system from PAYPlus to Fiserv’s Enterprise Payments Platform – EPP. The new EPP platform is the Mainframe based application as Partenon and middleware collection of layers. The system serves payments options such as FED (Domestic), FED (International), SWIFT (Domestic), SWIFT (International).

Main tasks include:

Creation of the DDR, FDR documentations,

Communication with development teams, QA teams, product.

PRE-PRODUCTION and production implementation process. Close monitoring of the daily defects in a QA environment.

Senior Technical System Analyst

Broadridge, Newark, NJ

05/18 – 01/22

As a senior Technical Business System Analyst, I am responsible for analysis, design, development, implementation, maintenance, and support of the CAGE system to allow performing daily trading and bookkeeping processing activities for the multiple financial clients such as: UBS, JPM, Wels Fargo, CITI, and many others.

Main tasks include:

Main tasks are to analyze the requirements/scope of the project, execute and code procedures, in hands on environment

using a variety of languages, databases, and platforms, with mainframe COBOL as primary. Continuously reconciling

all end results and maintaining audit trail documents as specified for each process. Obtained ownership responsibility

for certain systems; read and understand the systems code, job streams, and learn the purpose.

06/2013- 04/2018 J.P. Morgan Chase Brooklyn, NY

Business Analyst/ Technical System Analyst

As Lead Technical Business Analyst, responsible for strategic, design, mapping and gathering of business requirements and solutions of the DBNK/DBIN payment application to allow automatic collection of all cash accounts transactions from General Ledger, Accounts Payable, and Accounts Receivable into Cash Management for clearing and reconciliation. Transactions linked to a vendors such as Morcom, Global recon and Margin or accounts receivables and update of the appropriate balances. Transfer funds between bank accounts and track funds that are in-transit and accounts in different currencies.

RESPONSIBILITIES

Working effectively and individually with technical and non- technical team members and customers.

• Sharing similar mentality as existing team members toward customer satisfaction and success. • Overseeing and monitor successful completion of all aspects of assigned project work.

• Exercise independent judgment, and take the lead role on enterprise level project with minimal direction from a director or engagement manager.

• Facilitating meetings, consensus building skills, and interacting with executive level project sponsors.

07/12 – 06/13 Verizon Wireless Warren, NJ

Project Lead / Sr Technical System Analyst

Involved in the full project life cycle as LTA (Lead Technical Analyst) as a part of the implementation Rating/Billing team for rating processing system.

Played the major role in incorporation and maintains of DB2 data replication process between mirror sub subsystems NORTH/EAST/WEST/B backup system

Heavily involved in a customer interaction as well as team for requirement gathering, risk assessment, finalization of technical specifications.

Fully engaged in design and coding of Software RATING/BILLING Applications.

Mapping requirements; participating in the finalization of product specifications and selection of appropriate techniques.

Conducting system study and coordinating with team members for System Design & Integration, Application Maintenance with mainframe COBOL as primary and as JAVA as a secondary distributed technology, etc.

Handling various technical aspects like software design, coding of modules, monitoring critical paths & taking appropriate actions.

Leading/coordinating software unit, integration and QA testing activities.

Supervising smooth implementation of the project and extending post-implementation, application maintenance and technical support.

Achieving customer satisfaction by ensuring service quality norms and build the brand image by exceeding customer expectations.

01/12 – 07/12 Bank of New York New York, NY

Business Analyst / Technical Project Coordinator

As a Project lead/ Technical System Analyst played a major role in designing, developing and implementing strategic/technical solutions as a part of Cash Systems Services team for the CUE application.

Worked with QA teams to create test plans, working with technology, business and QA groups.

Ensuring that all BA team members are providing appropriate project plans for their work and managing their work to the planned deadlines. Conducting requirements gathering from applicable agencies and any other appropriate users. Investigated and proposed recommendations for resolution of business and software issues. Assisted in application testing planning, coordination, and execution activities.

Handled a team of 2 local and 3 offshore developers. Main tasks were to analyze the requirements/scope of the project, providing various types of technical solutions, creating documents such as TDD (Technical Design Document), pseudo code specifications and other vital technical specifications.

Execute and code procedures, in hands on environment using a variety of languages, databases, and platforms, with mainframe COBOL as primary.

Responsible for analyzing the requirements for end user and assisted in implementing approach for enhancements.

Obtained ownership responsibility for certain subsystems; read and understand the systems code and job streams, and learn the purpose.

The CUE stands for the Cash Utility Engine and is an in-house built application, which has been created in order to act as a router between various subsystems such as Merva, GPS, Sungard (Intellimatch), IMMS (International Money Management System). As from the moment the new transaction was being initiated in Merva (outside distribution system) the CUE reads the incoming message and validates it on a basis of a predefined set of rules, which are various from very simple to more complex and then routs processed transaction either to GPS (if they are payments, internal transfers or pre-advices to be finalized) or to Intellimatch (if they are credits).

CUE is a complex mainframe based application, which has been design to interact with a multiple outside apps by utilizing different distributed technologies.

04/11/- 11/11 Citi Bank Jersey City, NJ

Business Analyst / Technical Team Lead

Engaged both with external clients and well as all internal teams; most notably Implementations, Development, Quality Assurance and Client Service. Participated in development of training and software release notifications is also required. Served as a subject matter expert to support customer service representatives for escalated issues. Detail Oriented and Analytical Approach leading to an ability to guide, understand and translate the client needs into a solution. Managed complexity and multi-task across multiple deliverables. As Business Analyst Team Lead, provide guidance, oversight, and management of Business Analyst Team and activities.

Involved in the full project life cycle as Technical System Analyst/ project lead/developer of the implementation team for FX MOS (Foreign Exchange Mid-Office system). Responsible for system analysis, maintenance, development, testing and debugging including providing documentation such as TDD (Technical Design Document), pseudo code specifications and other vital documents of implementation system.

The FX MOS processes FX OTC Future (Forwards and Spots) and Option trades. The system handles USD based as well as cross currencies trades. Trades are received from front-end FATE system via real-time link and are stored in a centralized database. FX MOS is an IBM mainframe based system in combination with JAVA as a front end distributed system, which allows FX trade processing from multiple trading locations. System is able to handle markups and sales credit. Using a real-time process, trades are automatically confirmed and matched via the SWIFT network. Settlements of the trades are done with CITI Bank through GCMS (Global Cash Management system). Other system features include auto wire to branches confirming trade execution, automated rollover processing, counter party standing settlement instructions, trades allocation, currency conversion and auto matching of Pay/Receive instructions with CITI Bank

Main tasks are to analyze the requirements/scope of the project, execute and code procedures, in hands on environment using a variety of languages, databases, and platforms, with mainframe COBOL as primary. Continuously reconciling all end results and maintaining audit trail documents as specified for each process. Obtained ownership responsibility for certain systems; read and understand the systems code and job streams, and learn the purpose.

11/08 – 04/11 Verizon Wireless Warren, NJ

Lead Analyst / Sr. Programmer Analyst

Involved in the full project life cycle as LTA (Lead Technical Analyst) and part of the implementation (CST) team for Order processing system.

Responsible for maintenance, development, testing and debugging including providing documentation such as TDD (Technical Design Document) and other vital documents of implementation system.

The Customer Care organization initiative is requesting system changes to improve the accuracy of issued credits to customer’s account in the billing and front end systems: the task is to simplify the process by which CSRs research billing questions, and allow the billing systems to reduce the hundreds of OCC codes.

Main tasks are to execute and code procedures, in hands on environment using a variety of languages, data bases, and platforms, with mainframe COBOL as primary.

Continuously reconciling all end results and maintaining audit trail documents as specified for each process.

Obtained ownership responsibility for certain systems; read and understand the systems code and job streams, and learn the purpose.

BATCH SME – Responsible for reviewing all BATCH processes to ensure the code is up to the company’s standards. Analyzing, troubleshooting and resolving complex technical problems, investigating system vulnerabilities, suspicious systems activity, recommending and implementing resolutions. Analyze and process incoming access requests so that change requests on the mainframe are such that data confidentiality and integrity are guaranteed.

09/08 – 11/08 MEDCO Somerset, NJ

Lead Analyst / Sr. Programmer Analyst

Responsible for analysis, design, development, implementation, maintenance and support of Corporate Finance system for Adjustments department.

Responsible for the calculation of the discrepancies in the dollar amount for claims submitted to Medco from different sources.

Adjustments involve the use of DCO accumulators: the Deductible, Out of Pocket, and CAP accumulators which are present on the Benefit Adjustment (BnA) table in POS.

Key player in determination process to add additional requirements to the ADJUSTMENTS APPLICATION process flow.

Technically ADJUSTMENTS Requests for adjustments that originate from areas such as Direct Claims, Pharmacy Audit, Pharmacy Services, Finance, Eligibility, MED-D, Reporting, Directly from Pharmacy or Client.

Provided management with business process Flow Diagram, ADJUSTMENTS APPLICATION End-to-End Topology, Transaction Flow Diagram and ADJUSTMENTS APPLICATION Mainframe Process Flow and MQ Series Process Flow.

Delivering a service or product that meets or exceeds customer requirements at a cost that provides maximum value for the customer.

09/07 – 08/08 UPS Paramus, NJ

Lead / Sr. Programmer Analyst

Responsible for analysis, design, development, implementation, maintenance and support of OPLD. Part of the UPS Customer Information/Operation Management team responsible for the OPLD (Origin Package Level Detail) project.

Created Process Flow document where Mandatory changes included: New requirements for the OPLD process, Addition or removal of hardware/software for OPLD, Change in hardware/software platforms and/or configurations, Deletion of existing services, Amendments to the documentation as far as clients/suppliers are concerned.

Determine the process to add additional requirements to the OPLD process flow. Technically OPLD arrives in three formats: EMMS (Electronic Message Management Specification), MaxiShip, and Closed Loop (DB2 row images).

Provide Business Process Flow Diagram, OPLD End-to-End Topology, Transaction Flow Diagram and OPLD Mainframe Process Flow and MQ Series Process Flow.

Delivering a service or product that meets or exceeds customer requirements at a cost that provides maximum value for the customer.

04/2000 – 09/2007 UBS Jersey City, NJ

Lead / Sr. Programmer Analyst

Responsible for analysis, design, development, implementation, maintenance of on-line and batch LENDING Potential Credit Line/Loan Collateral Engine Systems. The primary objective is to create an integrated platform for processing RISK system updates to the Guarantee/Guarantor family by LCE background application with the purpose of display by the front-end ECF & Client Inquiry applications. Every type of update to Guarantee/Guarantor relationship that is taking place in RISK communicates to the LCE background task running in mainframe CICS. Only successful updates to the RISK Guarantee/Guarantor master file is be passed to LCE. The updates include: add, delete of accounts within the family, change of priority for existing accounts in the family, change by moving account from parent to child part of the family and vice versa (which also results in change of priority of all accounts within the family), change of account status in the family. After successful update of the RISK Guarantee/Guarantor master file, a new task will be initiated to start the LCE Guarantee/Guarantor update of MRG Guarantee/Guarantor table and trigger RECALC of collateral & loan values for LCE Guarantee/Guarantor changed relationship via LCE0 Tran-id. Heavily involved in the coding process of the project utilizing DB Stored Procedures as a main source of DB2 data distribution across various application. As a part of the development system design exploited MQ Series to provide exchange of data among subsystems. (COBOL3/CICS/VSAM/DB28/MQ).

Responsible for gathering requirements, from users related in ABS (Asset Backed Securities Custodies and Risk Management Systems. Data mapping of feeds from several reference data systems to a number of in-house applications. Responsibilities include project feasibility reports, translation client requirements into functional specifications. Strong experience in all phases of Project Life Cycle. Determined business requirements and created functional and program specifications. Developed test plan, test scenarios, and test cases for QA systems testing. Identifying options for potential solutions and assessing them for both technical and business suitability. Working closely with developers and a variety of end-users to ensure technical compatibility and end-user satisfaction.

Involved in the development of the web-based application, which facilitates trade creation, execution and allocation for PMP, Selections Insight One and OMM users by streamlining navigation via browser based front-end pages. ICST gives Financial Advisors (FA) and Client Service Associates (CSA) the ability to perform a trade criteria search by identifying particular accounts to which they may perform model balancing function to single and multiple accounts as well as create and execute orders for single and block trade orders. ICST also includes trading functions for manual order submission or Electronic Order Submission (EOS), order execution and trade status capability through Continuous Transaction Processing System (CTPS) via On-line Trading (OLT).

10/95 – 04/2000 Morgan Stanley Jersey City, NJ

Sr. Programmer Analyst

Responsible for analysis, design, development, implementation, maintenance and support of On-line and batch Equity, Money Market and Active Assets Mutual Funds Systems. The Mutual Funds Systems is a highly complex mutual fund shareholder record-keeping and management system enables you to easily manage all aspects of shareholder interaction, from account activity to shareholder profiles to contact history. (COBOLII/CICS/VSAM/DB2)

Developed a process that will systematically send and confirm all daily trade activity for the Start/DPSP Omnibus positions to PWC. Daily trade activity will include purchases, redemptions and dividend activity.

Involved in all phases of Project Life Cycle.

Determined business requirements and created functional and program specifications.

Developed test plan, test scenarios, and test cases for QA systems testing.

Was heavily involved in interface with user community on a daily basis to provide real-time production support and system analysis to customer problems, often those issues were resolved with the customer waiting on the phone.

Developed and implemented an on-line/batch Know Your Customer System under the USA Patriot Act Section. Designed and implemented Trader’s Desk System that will generate DSC Daily Summary Report and DSC Month End Summary Report.

Designed and implemented Exchange New Account System. The system provide capability to setup new credit account masters and allow carrying over information from debit account to target account for Money Market and Equity.

Designed and implemented Erisa Fees System that will allow the users to retrieve the Custodial and Termination Fee information

Developed and implemented ACH System for electronic transfers of cash income distributions and capital gain distributions to a customer designated savings/checking account. Responsible for 24/7 production support and ongoing maintenance to systems.

EDUCATION:

UA State University - BS in Mechanical Engineering / Information Technology - 1991

New Age Training - DB2/SQL – 1993

Themis training - JCL and TSO/ISPF Course - 1995

Themis training - Oracle PL/SQL Best Practices - 1995

Project Management Training Institute - PMP course – 2015

Themis training - DB2 SQL for the 21st Century - 2016

REFERENCES: Available upon request



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