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Senior Calypso Opics Business Analyst

Luxoft, New York, NY, United States


Project description

Luxoft has one of the world's leading Calypso practice. We are a top-tier Calypso Partner and a market leader in implementation, integration, upgrade, and migration. We provide end-to-end project services and have delivered Calypso projects across all major asset classes and sectors including investment banking, asset management, corporate treasury, and insurance.

Project Description: Implementation on existing Calypso instance; migration from Opics. Compensation for NYC: 140000-200000 USD Gross per year based on your interview results. Salary for other locations dependent on experience and market standards

Responsibilities

Role Summary: Senior Business Analyst with deep Finastra Opics expertise supporting a migration from Opics to Calypso. The candidate will bridge legacy Opics functionality with Calypso target-state design, covering FX, MM, derivatives, settlement, accounting, and reporting.

Opics Platform - Core Functional Knowledge

Deep hands-on experience with Finastra Opics (formerly Misys Opics Plus) across MO and BO modules

Configuration and understanding of Opics deal entry screens, product processors, and lifecycle event handling

Knowledge of Opics database schema (Oracle-based): deal tables, position tables, accounting entries, and static data structures

Understanding of Opics batch processing architecture: EOD cycles, position revaluation, accrual runs, and report generation

Experience with Opics system administration: user setup, entitlements, product activation, and parameter configuration

Familiarity with Opics release management, patch application, and environment promotion processes

Opics Product Coverage

FX: spot, forward, swaps, NDF/NDS, FX options (vanilla and barrier)

Money Market: deposits, loans, CDs, T-Bills, CP, and repo/reverse repo

Interest Rate Derivatives: IRS, FRAs, caps/floors, cross-currency swaps

Fixed Income: bonds, floating rate notes, government securities, and MTNs

Commodities: precious metals spots and forwards where applicable

Understanding of Opics product processor rules, accrual methods, and maturity/settlement behaviour per product type

Current-State Opics Process Documentation

Documenting end-to-end trade lifecycle workflows within Opics: deal capture, confirmation, settlement instruction generation, and accounting posting

Mapping of Opics business rules, validation logic, and exception handling procedures to functional specification format

Documentation of Opics static data: counterparty records, currency/calendar setup, rate codes, and settlement instructions

Capturing Opics interface inventory: all inbound/outbound feeds, file formats, frequencies, and downstream consumers

Identification and documentation of Opics customisations, workarounds, and manual processes that deviate from standard functionality

Opics Accounting & GL Integration

Understanding of Opics accounting engine: chart of accounts structure, posting rules, and journal generation per event type

Documentation of Opics-to-GL mapping including account codes, cost centres, and legal entity breakdowns

Experience with Opics accrual accounting: interest accruals, premium amortisation, discount/premium on bonds

Knowledge of Opics revaluation and P&L posting logic for FX, MM, and derivatives positions

Familiarity with Opics interfaces to downstream accounting systems (SAP, Oracle Financials, or similar)

Opics Settlement & Payments

Knowledge of Opics settlement instruction setup, SSI maintenance, and SWIFT message generation (MT103, MT202, MT300, MT320, MT600)

Understanding of Opics netting logic for FX and MM settlements

Documentation of nostro account structure, correspondent banking relationships, and settlement cut-off rules within Opics

Experience with Opics fails management, manual payment processing, and settlement exception handling

Migration Analysis - Opics to Calypso

Identification and scoping of in-flight trades, open positions, accruals, and balances requiring migration at cutover

Analysis of Opics data structures and translation into Calypso-compatible formats for trade, position, and static data migration

Mapping of Opics product types to equivalent Calypso instrument templates and product processors

Gap analysis between Opics business rules and Calypso standard functionality, with recommendations for configuration or workarounds

Definition of data quality rules, cleansing requirements, and enrichment needed prior to migration load

Support for parallel run reconciliation: comparing Opics and Calypso outputs at position, P&L, and accounting levels

Contribution to cutover runbooks including sequencing of Opics freeze, data migration, Calypso go-live, and fallback procedures

Requirements & Functional Specification

Translating Opics behaviour, lifecycle events, and accounting logic into Calypso functional specifications and user stories

Producing As-Is / To-Be process maps highlighting delta between Opics and Calypso workflows

Writing acceptance criteria aligned to Opics business rules for use in Calypso SIT and UAT test scripts

Facilitating workshops with SMEs from trading, operations, finance, and IT to validate Opics-to-Calypso mapping decisions

Integration & Interface Analysis

Review and documentation of all Opics system integrations: SWIFT, market data feeds, risk systems, GL, and custody platforms

Functional specification of replacement interfaces in Calypso covering the same downstream consumers

Support for connectivity testing between Calypso and systems previously integrated with Opics

Identification of interface gaps where Calypso requires new connectivity not present in the Opics architecture

Testing & Parallel Run

Design and execution of test scenarios covering Opics-equivalent trade scenarios in Calypso

Reconciliation of Calypso outputs (positions, P&L, accounting entries, SWIFT messages) against Opics during parallel run

Triage and root-cause analysis of discrepancies between Opics and Calypso during SIT, UAT, and parallel run phases

Management of defect lifecycle with clear distinction between configuration issues, data issues, and product gaps

10. Knowledge Transfer & Documentation

Production of Opics functional reference guides for use by Calypso implementation and operations teams

Documentation of Opics exceptions, legacy workarounds, and known system limitations to inform Calypso design decisions

Delivery of structured knowledge transfer sessions to project team members unfamiliar with Opics

Contribution to operational runbooks covering processes that change as a result of the Opics-to-Calypso migration

Skills

Must have

5+ years in capital markets with direct hands-on Opics experience in a BA, implementation, or support capacity

Strong understanding of FX, MM, and derivatives trade economics, settlement conventions, and accounting treatment

Ability to write and run SQL queries against the Opics Oracle database for data analysis and migration validation

Familiarity with Opics flat-file formats and SWIFT message structures generated by Opics

Experience working in Agile (Scrum/Kanban) delivery frameworks alongside waterfall governance requirements

Exposure to Calypso is advantageous but not mandatory; willingness to develop Calypso knowledge is essential

Nice to have

Ability to work under pressure in a fast-paced environment is essential.

Have a willingness to learn new skills

Must have attention to detail

Must have the ability to work independently and also as part of a group

Experience of Agile practices and processes (e.g. SCRUM, KANBAN)

Any technical knowledge (Writing simple sql query, be able to read code )

Conflict management ensuring collaborative outcomes

Excellent attention to detail and accuracy

Other

Languages

English: C1 Advanced

Seniority

Senior