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Street Address East 18 Street, Apt. 5cBrooklyn, New York Street Address
PHONE NUMBER AVAILABLEcell ph.: PHONE NUMBER AVAILABLEEMAIL AVAILABLESUMMARY: Lead Programmer/ Systems Analyst, Architect with over fifteen years of experience in data processing and with excellentanalytical skills. The expertise is within the IBM Mainframe arena utilizing Cobol, CICS, DB2, MQ Series, JCL, VSAM, XML,and utilities. The industry experience includes Heavy Brokerage (Asset Management, SWIFT Messaging, Global Custody,Clearing, Portfolio Management, Global Securities, Trading, Foreign Exchange, Securities Transfer, Fixed Income, TEFRA,Mortgages, Retail Brokerage, Tax Withholding, 1099, 1042, Mutual Funds, Statements, Margins, Dividends, CorporateActions, Reorg, Check Processing, Investor Communication Services, Capital Markets, Post-Sale Fulfillment, Tax Lots, ACAT,Volatility, Mutual Funds, Day Trading, Settlements, Foreign Taxation, Insurance and Annuity, MSD, Order & Trade Management,etc.), Banking (Check Processing, Same Day Reconcilement, Retail Banking, Account Processing, DDA, MMDA, General Ledger,Billing, etc.), and Insurance (Health Insurance, Claims Processing, Third Party Liability, etc).SOFTWARE: COBOL 390, COBOL ENTERPRISE, COBOL LE, CICS/VS, OS/MVS/JCL, UTILITIES, TSO/ISPF, VSAM, MQ SERIES,EDI, BMS, INTERTEST, XPEDITER, DB2, SQL, SPUFI, CASE TOOLS (APS), QMF, SWIFT, FTP, SFTP, CHANGEMAN,STORED PROCEDURES, PROEDIT, VISTA, FORTRAN, ASSEMBLER, IDMS, EASYTRIEVE PLUS, NDM, LU6.2,ENDEAVOR, MOBIUS, BMC, OPC, PLATINUM, QUIKJOB, SAR, PDX, TRACE MASTER, GTB, EXCEL, JIRA,DATA STUDIO, BMC, MICROFOCUS STARTOOL, RLC, TUMBLEWEED, AXWAY, API, IBM DEBUG TOOLHARDWARE: IBM MAINFRAMEMETHODOLOGY: WATERFALL, AGILE, SCRUMEXPERIENCE:08/21 Infosys, Weehawken, NJPresent Consultant, Lead Programmer/Analyst, ArchitectFor UBSFor Order and Trade Management group of Wealth Management Department was responsible for analysis, design, coding, unit and System testing, QA testing, creating test cases, documentation, user interface, communication with offshore teams and QA group, implementation, maintenance, and production support for multiple batch/on-line systems. Those systems utilize COBOL, JCL, VSAM files, CICS, DB2 tables, MQ Series, DB2 Utilities, SFTP, and use multy-platform application systems, OPC, Microfocus StartTool, and BMS were used for analysis.Was responsible for maintenance and development of Supervisory Controls Portal (SCP) system and its batch/on-line subsystems Cancel/Rebill Reporting system, Cancelled and ASOF Reporting system, Same Day Delete Reporting system, Extended Settlement system, Error and Account Reporting system. Those systems produce supervisory alerts that are being reviewed by Trading Desk supervisors to allow them properly supervise the business and detect unusual or suspicion activities. For those systems introduced processing of Foreign Exchange Accounts file, Commodities file, and DB2 tables. Created new and changed existing programs, jobs, procs, and control cards that use Sort Join.Was responsible for development of new on-line Automatic Security Set Up in PRDB subsystem of Prime Broker and Stock Loan system. That subsystem gets trading information messages from MQ Series and processes them. The processed information is being passed to existing on-line system that writes that trading information to several VSAM files and DB2 tables.Was responsible for implementation of Tumbleweed to AXWAY migration initiative. Tumbleweed/AXWAY triggering software supports SFTP process of transmission files between UBS vendors and UBS or between different UBS applications. Analyzed jobs, procs, and cards of the following applications: Credit Data System, Trader Profit & Loss System, Fixed Income Processing System, Commodities System, Prime Broker & Stock Loan System, SAP Ariba System, Computer Resource Company System, Caesar Fixed Income Trading System, Orders & Executions and Trades System, New Issue Management WMA System, Gold Bullion International System, ECLIRF System, Investment Advisory PLF system, Transaction Database System. Selected cards and jobs that belong to migration process, submitted requests to AXWAY group for setting up every selected job in QA and PROD, updated selected cards. Performed transmission testing in QA region together with vendors or another UBS group participated in transmission.Was responsible for setting up batch/on-line Corporation and Netting process for Fixed income Clearance System (GSC) in QA, for testing that system in QA, and for creating QA versions of GSC jobs and cards.For Tax Lot/Cost Basis Group of Wealth Management Department worked on WMAP Conversion Execution Project and Operation Securities Reg/Risk Project. Was responsible for analysis, design, coding, unit and system testing, creating documentation, communication with offshore team and with QA group, implementation, maintenance, and QA support of multiple batch/on-line systems. Used BMC for testing SQL PL Stored Procedures. These systems utilize COBOL, CICS, JCL, VSAM files, DB2 tables, DB2 SQL PL native and external Stored Procedures, DB2 utilities, and use multiplatform application systems. OPC, Microfocus StarTool, and BMC were used for analysis.Was responsible for development and maintenance of Stored Procedures that provide users the ability to browse Unrealized Tax Lot Details, Realized Summary information, Realized Tax Lot Details, Gain/Loss summary information, and Fixed Income Amortization information. Those Stored Procedures retrieve required data from Tax Lot DB2 tables that contain Buy information, Sell information, Realized Account Summery information, Fixed Income information, Option Symbol information, etc. and return data in multiple result sets to users. The above mentioned Stored Procedures contained processing of DB2 Global temporary tables and used DB2 expressions.Was responsible for conversion of batch/on-line Cost Basis KBS Reporting System to Cost Basis KBU reporting system. The conversion initiative was introduced because there were changed the architecture of DB2 database, the structure of DB2 tables, and the structure of participating files. Was responsible for creating of new jobs, procs, programs, control cards for the new KBU system using KBS system as a base. New steps that contain Sort Joins were added to procs. The existing Sort Join cards were changed for KBU system.Was responsible for QA support of KBU systems, that included analysis of the reasons of ABENDs in QA and fixing the problems that caused those ABENDs.09/19 Cognizant, Newark, NJ07/21 Lead Programmer/Analyst, ArchitectFOR BROADRIDGEFor Margin and IRA Groups worked on the Unicorn Conversion project for Broadridge client UBS. Was responsible for analysis, design, coding, unit and system testing, creating documentation, user interface, communication with offshore teams and with QA group, implementation, maintenance, and production support for multiple batch/on-line systems. Used Data Studio for testing SQL PL Stored Procedures, and EXCI utility for unit testing of API programs. These systems utilize COBOL ENTERPRISE, JCL, VSAM files, CICS, DB2 tables, DB2 SQL PL native and external Stored Procedures, MQ Series, DB2 utilities, XML, OPC, SAR, and used multi-platform application systems, and GUI screens.Was responsible for development of new Add-On batch/on-line systems that provide for users the ability to add or remove a margin percentage override to all securities (equities, bonds, options, etc.). For that system developed multiple DB2 SQL PL native and external stored procedures.Was responsible for work on batch/on-line Margin Requirement Override System and its subsystems: Range/Account Requirements for Instruments, Range/Account Requirements for Securities, Customer House Price, Trading House Price, etc. Was responsible for work on IRA Beneficiary and Participant Distribution System and its subsystems Participant Maintenance and Distribution Calculation System and Beneficiary Maintenance and Distribution Calculation System. Changed foreground tasks to background tasks for on-line parts of the named systems. For UBS clients developed API programs that perform connection with distributed platform applications and new GUI screens. For non UBS clients that utilize the named systems developed new programs that were performing SEND MAP and RECEIVE MAP commands based on data received from background tasks, so nonUBS clients would not notice any changes to the named systems.Was responsible for introducing additional business functions requested by UBS to the named existing systems and for development of new standalone batch/online systems that contain other additional functions requested by UBS.11/18 Emplofy LLC, Newark, NJ08/19 Lead Mainframe Programmer/Analyst, System Analyst, QA Test LeadFOR LARSEN & TOUBRO INFOTECH / BROADRIDGEServed as a Mainframe SME on the Unicorn conversion project for Broadridge client UBS. Analyzed FRDs and TSDs that described functional and technical changes to different applications: ACAT, Mutual Funds, Margins, Day Trading, Settlements, Foreign Taxation, Insurance and Annuity, MSD, etc. Participated in meetings with BAs in order to clarify discrepancies, lack of information, and errors in those FRDs, and recommended and requested changes to those documents. Participated in meetings with developers to discuss the conversion changes and workflow of the systems and dataflow in those systems.Performed System Analysis and created system analysis documents. Created Mainframe training documents for QA testers. Served as liaison between QA testers and Business Analysts, developers, clients, Architecture group and the Project team. Studied Systems Users Manuals for different systems, analyzed batch and online programs, jobs, procs, data layouts, files, DB2 databases, and scheduling for different systems. Executed SQL queries, created unloads from DB2 tables, and created extracts from files for data analysis purposes. The systems utilized COBOL ENTERPRISE, JCL, VSAM files, CICS, DB2 tables, DB2 Stored Procedures, MQ Series, DB2 utilities, XML, OPC, SAR, multi-platform application systems, and GUI screens.Organized meetings with onshore and offshore testers discussing the status of work, questions to FRDs and distribution of work among QA testers. Created Test Plans, Test Scenarios, and Test Cases documents for different applications. Analyzed Test Scenarios and Test Cases of QA testers, made recommendations of changes to those documents and discussed those changes with the testers. Created testing environments based on information from FRDs, User Manuals, BAs, developers, and other SMEs for testing of required changes. Analyzed results of testing of onshore and offshore QA groups, performed batch and online testing. Created test reports.02/17 TSR Consulting Services, Inc., Edgewood, NY10/18 Lead Programmer/Analyst, ArchitectFOR BROADRIDGEFor Statement Development Group was responsible for analysis, design, coding, creating documentation, unit and system testing, user interface, implementation, maintenance, production support for multiple batch/on-line systems for a number of Broadridge clients: Cetera Financial Group, International Group of Capital Market Associations (ICMA), Piper Jaffrey, LPL Financial, and AXA Advisors. The systems utilized COBOL ENTERPRISE, JCL, VSAM files, CICS, DB2 tables, DB2 Stored Procedures, MQ Series, DB2 utilities, XML, OPC, SAR, also used multi-platform application systems, and GUI screens. The named Systems are described below:For Money Market Income/ Income Summary Statement System introduced changes for calculation of Money Market and Taxable Interest for household and non-household accounts. A number of programs and copybooks were changed. Testing required all phases of statement creation. The system used batch jobs, and online transactions.Was responsible for implementation of Statement Message enhancement initiative. That enhancement allowed printing statements messages in bold and/or underlined font, printing longer messages and multiple messages. The changes were made to a lot of programs, copybooks, procs, and jobs. The created files were further used in processing by EXTREAM software. The testing required close collaboration with EXTREAM group. The system used batch jobs, online transactions, DB2 Stored Procedures, and MQ Series.Was responsible for implementing the initiative of introducing processing of data of a new client ICMA into Broadridge statements processing. That included changing existing programs and creating new programs, also creating many necessary new jobs, procs, and control cards for all changes.For Cost Basis Statement System introduced changes for proper calculation and display on statements Market Value, Gain or Loss, Purchase and Adjusted Cost, Purchase and Adjusted Price, Buy/Sell Quantity, etc. The system used batch jobs and online transactions.For Gain/Loss Summary and Detail Statements Systems was responsible for modernization changes. That included changes to existing programs, procs, jobs, creating new programs. That modernization allowed utilization of EXTREAM software to manage both electronic and print deliverables to customers and clients.11/15 TSR Consulting Services, Inc., Jersey City, NJ09/16 Lead Programmer/Analyst, ArchitectFOR BROADRIDGEFor Tax Lot Group was responsible for analysis, design, coding, creating documentation, system/unit testing, user interface, implementation, maintenance, production support for a new batch/online Complex Bonds Cost Basis Calculation System for the clients Edward Jones, APEX, and RB Dain. That system exchange data with Wall Street Concepts a company that performs complex bonds cost basis calculation. Also the system integrates data received from WSC to Broadridge Tax Lot Engine System.Was responsible for the changes of multitudes of batch/online existing Tax Lot Systems in order to incorporate processing of Complex Bonds data related to WSC processing.Those systems utilized COBOL ENTERPRISE, DB2 tables, JCL, VSAM files, CICS, MQ Series, DB2 Stored Procedures, DB2 utilities, NDM, XML, OPC, SAR, and used multi-platform application systems, and GUI screens.11/14 - Wipro Technologies / Sage IT / Progress Solutions, Florham Park, New Jersey10/15 Lead Programmer/Analyst, ArchitectFOR BANK OF NEW YORK MELLON / PERSHING:For Global Margin Group was responsible for analysis, design, architecture, coding, drafting of specifications, STDs, TDDs, creating other documentation, system/unit testing, user interface, implementation, maintenance, production support for a number of systems that introduced processing of Goldman Sachs Margin data into BNYM/Pershing processing. Those systems utilized COBOL Enterprise, DB2 tables, VSAM files, CICS, MQ Series, DB2 Stored Procedures, DB2 Utilities, XML, and SAR. Used Trace Master debugger, GTB screen painter for testing, and EXCEL spreadsheets with formulas for test results verification. The named Systems are described below:Applying Volatility-based Margin Requirement batch/online System that accumulates prices for securities from Pershing Security Master data, Goldman Sachs Price Server and uses Corporate Actions data to adjust prices for stock splits. Price Volatility is being calculated daily. Uniformly weighted and Exponentially weighted volatilities are being calculated for every CUSIP using recursive methods based on current price and named above volatilities for previous business day. Based on Goldman Sachs House Margin Rules volatility grid Margin loan percentage is calculated for long and short positions and for derivatives (calls and puts). The process uses all rules overrides defined for any position to assign correct rule margin calculation.Auto Stock Release System and S&P Rating Override System are on-line systems that allow overriding of house margin eligibility criteria for equities and subsequent requirements on derivatives with equity underlier. These systems allow a user to change Margin rules manually for any account/security combination.08/13 MVP Consulting, Jersey City, New Jersey09/14 Senior Programmer/AnalystFOR SCIVANTAGE / BROADRIDGEFor Tax Lot Group was responsible for analysis, design, coding, creating documentation, system/unit testing, user interface, implementation, maintenance, production support for a number of following new and existing Tax Lot Systems for multiple clients (Edward Jones, APEX, RB Dain, Ridge, etc.). Those systems utilized COBOL ENTERPRISE, DB2 tables, JCL, VSAM files, CICS, MQ Series, DB2 Stored Procedures, and used multi-platform application systems, GUI screens, DB2 utilities, NDM, XML, OPC, SAR:For Wash Sale System introduced changes in recalculation of Gain/Loss and Cost Basis for partial SELL for long and short accounts. The Wash Sale processing defers the losses occurred onto eligible BUY lots to adjust the cost basis and gain/loss. The system used batch jobs, online transactions, and DB2 Stored Procedures.Was responsible for changes to batch/online Gain/Loss Calculation System. The System performs computation of capital gain and loss that occurs due to security dealing across a variety of portfolio positions. It primarily computes Realized and Unrealized gain/loss at each account level. The System utilizes DB2 Stored Procedures and MQ Series.Was responsible for new Edward Jones Fixed Income Reporting System that retrieves from data base information (Cost Basis, Adjusted cost on a bond due to Accretion / Amortization, trade date, close date, balances, etc.) of processed Opened and Closed tax lots. System also creates Delta files that contain information for tax lots that have changed from posting of daily transactions or via user input. The System is being executed daily and annually and utilizes batch jobs, NDM, and MQ Series.04/13 - EXPERIS, Orangeburg, NY08/13 Senior Programmer/AnalystFOR VERIZON WIRELESS:For Business Continuity/Production Support Group was responsible for Reconciliation Project that had to solve problem of unmatched rows of 3 frequently used related DB2 tables (Customer table, Products table, and Features table). DB2 referential integrity was not established. The corrupted data unmatched rows of those tables caused ABENDs on daily basis.For solution of this problem more than 300 programs (a lot of them were performing billing) and associated with them jobs were analyzed. Programs and jobs that caused data corruption were found and fixed. A Conversion Reconciliation System for fixing corrupted data was created. That System included jobs and batch programs. The System ether removed unmatched data or created matching data depending on situation. That System utilized COBOL, DB2 tables, and JCL.Analyzed systems utilized COBOL, DB2 tables, JCL, VSAM files, CICS, MQ Series, DB2 Stored Procedures, CHANGEMAN, used multiplatform application systems. DB2 utilities (LOAD, UNLOAD, EXPLAIN, REPAIR, etc.) were heavily used for analysis.08/12 - TSR Consulting Services, Inc., Edgewood, NY05/13 Senior Programmer/AnalystFOR BROADRIDGEFor Post-Sale Systems Group was responsible for analysis, design, coding, creating documentation, system/unit testing, user interface, implementation, maintenance, production support for the following new and existing subsystems of the Post-Sale Systems that utilized COBOL ENTERPRISE, QUIKJOB, DB2 tables, JCL, VSAM files, CICS, MQ Series, DB2 Stored Procedures, and used multi-platform application systems, DB2 utilities, NDM, XML, OPC:Created a new batch/on-line Post-Sale Postage Billing System that receives and/or calculates meter, full, billing, and discount billing rates for the local and foreign customers. That System updates the Postage Rate Table and uses information of this table for calculation of billing amounts for the mailings of prospectuses and other trade related information on behalf of financial intermediaries to their investors. The System also produces annual, semi-annual, and other reporting information.For the TD Ameritrade Client System introduced Auto Close process that matches CUSIP /Account file to the client incoming file and closes the trades, so the prospectuses would not be sent to the account owners with closed trades.For the Edward Johns Client System changed Confirm Hold criteria for Municipal Bond trades to utilize Trade dates instead of Settlement dates in calculation of Confirm dates.07/09 Open Systems Technologies, Jersey City, New Jersey07/12 Senior Programmer/AnalystFOR CITI BANKFor CitiChecking and Same Day Reconcilement Group worked on the project of Migration/Conversion to ORACLE/Flexcube of accounts and multiple Citichecking Systems and was responsible for full Systems development lifecycle - business and technical analysis, design, architecture, coding, creating documentation (Business Requirements Documents, Functional Requirements Documents, Technical design documents that include specs, pseudo codes, flowcharts), for unit/system/QA testing, user interface, implementation, maintenance, production support of the following Systems that utilized COBOL 390/ COBOL ENTERPRISE, DB2 tables, JCL, VSAM files, CICS, MQ Series, DB2 Stored Procedures, used multi-platform application systems, DB2 utilities, NDM, XML, OPC, CHANGEMAN:New Citichecking Balances/Check Accumulators end-of-day and intra-day update System that handles multiple balances (Ledger, Available, Issuance, Paid Without Issuance, Outstanding, Stop Item, Credit Amount, Debit, Matched Paid, Noncheck Credit/Debit, outstanding Adjustment, Interest, etc.). These balances are received from Flexcube using NDM, MQ Series, and Stored Procedures. This information is processed using batch jobs, on-line transactions, and DB2 stored procedures. System validated information and updated Citichecking Balance table.New Account Emergency Recovery System restores 18 different VSAM files and 10 DB2 tables if it is found that the integrity of Account information that resides on these files and tables was violated. The input information for this system is being received from Flexcube. It is being validated, splat, and manually adjusted. The system loads that information to various VSAM files (Master Account Index files, Plan files, Subaccounts files, etc.) and DB2 tables (Common Account table, Transactions Table, Reports Table, etc.) that belong to Delaware, New York,Financial, and Same Day Reconcilement regions. The Processing begins in batch but may turn on CICS processing EXCI utility and then control returns to batch. The System heavily utilizes DB2 utilities (LOAD, UNLOAD, RUNSTATS, REPAIR, etc.) and jobs that execute dynamic SQL.Was responsible for modifications to Citichecking Billing System. These changes enable the system to process accounts migrated to Flexcube as well as Citichecking accounts. That system generates billing charges for all Citichecking billing products (overdraft fees, transfer related charges, transactions, payments, wire charges, etc.).05/08 - TSR Consulting Services, Inc., Edgewood, NY05/09 Senior Programmer/AnalystFOR BROADRIDGE (formerly ADP):For Investor Communication Services Group was responsible for analysis, design, coding, creating documentation (specs, pseudo codes, flowcharts, etc.), systems/unit testing, user interface, implementation, maintenance, production support of Class Action Lawsuit System (this is about violation of Capital Market Financial Compliance rules) for Financial Client (Merrill Lynch). This batch/on-line system determines eligible CUSIP and Class Action time frames from companies Risk Metrics Systems and Class Administrator, receives detailed trading information and client account information for relevant accounts from Merrill Lynch, calculates the beginning and ending positions within the Class Action timeframe, handles errors, sends and receives information electronically to and from Merrill Lynch and Risk Metrics Systems. Worked on database design, heavily used DB2 utilities during testing. Queries of the programs used in stored procedures that performed on-line display and update of database of investors financial information.Systems utilized COBOL 390, DB2 tables, JCL, VSAM files, CICS, MQ Series, DB2 Stored Procedures, used multi-platform application systems, DB2 utilities (LOAD, UNLOAD, EXPLAIN, REPAIR, etc.), FTP, NDM.08/07 - Kforce Professional Staffing, Jersey City, New Jersey05/08 Senior Programmer/System AnalystFOR BROWN BROTHERS HARRIMAN:For TEFRA/Year-End group responsible for analysis, design, coding, systems/unit testing, user interface, implementation, maintenance, production support of the following systems that utilized COBOL 390, CICS, VSAM files, JCL, DB2 tables, MQ Series, Db2 Stored Procedures, used multi-platform application systems, DB2 utilities, FTP, MOBIUS:Batch/on-line Form 1099 Tax Information Statement System that consolidates for the same account Dividend and Distribution, Interest Income, and Miscellaneous Income information to one form. This design required a sophisticated approach to DB2 tables (there were utilized nested table expressions with full outer joins, various scalar functions, also there were used scalar functions to create unique keys for result table, performance tuning was made, etc.).Form 1042S Information Statement Systems. These batch/on-line Systems used new form that contained new additional information fields and produced various Statement forms depending on the type of the customer. The System required a sophisticated approach to DB2 tables.Batch Systems: 1099 Statements, Reporting, and Accounting Systems, 1042S Statements, Reporting, and Accounting Systems, Income History and NRA Systems, Broker Daily Loading System, Broker Canceling System, Journal History System, etc.03/06 - TEKSYSTEMS, Inc., Jersey City, New Jersey07/07 Senior Programmer/System AnalystFOR BROADRIDGE (formerly ADP):Was responsible for analysis, design, coding, systems/unit testing, user interface, implementation, maintenance, production support of the following systems that utilized COBOL 390, CICS, VSAM files, JCL, DB2 tables, MQ Series, Db2 Stored Procedures, used multi-platform application systems, DB2 utilities, NDM, PDX:For Year-End group - on-line Statements and Tax System. That System allows browsing statements information, 1099 tax information on consolidated 1099 for dividends & distributions income, interest income, and miscellaneous income.For Year-End group - Cash management / Check Processing System. That batch/on-line System accumulates and manages information about cash and checks flow for further use in Statements System.For Corporate Action, Reorg, Dividends, and Statements group - batch/on-line Voluntary Offers System. That System accumulates through batch, using MQ Series, information, and then allows browsing, adding, updating, and deleting Corporate Action Announcements of voluntary offers. Those offers can be viewed by their Reorg Type, cusip, book or process date, by expiration date for Back Office, or by Cutoff Date for Front Office (Branch Access), or by any combination of named above parameters.For Corporate Action, Reorg, Dividends, and Statements group - batch/on-line Auto Wire Dividend System. That System analyses account dividend database and files. When account dividend activity is detected, the appropriate Name and Address information is being selected, and dividend wire notifications are being created.For Corporate Action, Reorg, Dividends, and Statements group - Reorg/Workflow Back Office Position On-line System. That background System is triggered by MQ messages, retrieves booking instruction information from those messages, and performs booking of positions globally for all accounts in case of Mandatory Corporate Actions or selectively for individual accounts for Optional Corporate Actions. Booking can be complete or partial (for Optional Corporate Actions) depending on the received instructions. The System reads/updates DB2 tables and VSAM files and sends back a report through MQ message about results of booking.08/05 - SANS Consulting Services Inc., Warren, New Jersey02/06 Senior Programmer/ System AnalystFOR CITI GROUP:For Purchase and Sales Group of Information Technology Department responsible for analysis, design, coding, systems/unit testing, user interface, implementation, maintenance, production support of batch/on-line Security Master Account & Pricing System, for conversion of this System from IDMS to DB2. The System handles all securities with their attributes (CUSIP number, ISIN, etc.) that Citi Group works with. The System takes in feed from various vendors to get daily pricing, dividend, and interest information, it gets closing market prices with their last trading date from various vendors (IDSI, Bloomberg, Euroclear, etc.), creates firm price from the last trade price of the Citi Group for the same date, updates files and data base with that information, creates reporting information.Systems utilized COBOL 390, CICS, VSAM files, JCL, DB2 tables, MQ Series, IDMS, NDM, FTP, CHANGEMAN.Combined Computer Resources, NJ, Paramus04/04 - Senior Programmer/ System Analyst08/05 FOR UNITED PARCEL SERVICE OF AMERICA, INC.:For Quantum View Data Group of Customer Technology Infrastructure Department was responsible for analysis, coding, testing, user interface, maintenance, implementation, performance modeling and tuning, production support of QVD System. This System provides subscribed customers with information about package status data (manifest, origin, exception, delivery, etc.) through internet services. Systems receive information through MQ-s. The data is being |