The Calypso Consultant is responsible for providing end-to-end functional and technical expertise in the implementation, customization, and support of Calypso solutions across multiple asset classes and business domains. This role involves working closely with business stakeholders, IT teams, and Calypso system users to deliver solutions that enhance operational efficiency, mitigate risk, and ensure regulatory compliance within the financial services environment.
Requirements
1. Solution Implementation & Configuration
- Implement and configure Calypso modules across multiple domains, including :
- Collateral Management – Margin call processing, dispute management, eligibility rules, and optimization.
- Asset Management – Portfolio setup, position keeping, performance measurement, and accounting integration.
- Treasury – Cash and liquidity management, funding operations, and treasury workflows.
- Hedge Accounting – Set up hedge relationships, effectiveness testing, and IFRS compliance reporting.
- Clearing – Central counterparty (CCP) integration, trade workflow management, and clearing reconciliation.
- Risk – Market risk, credit risk, and counterparty risk configuration using Calypso risk engines.
- CATT (Calypso Automated Testing Tool) – Design and maintain automated test scripts for regression and UAT testing.
2. Asset Class Coverage
Work across a broad range of Calypso asset classes , including :
FXD (Foreign Exchange Derivatives) – Spot, forward, swaps, and options configuration.IRD (Interest Rate Derivatives) – Swaps, caps / floors, swaptions, and structured rate products.FI (Fixed Income) – Bonds, repos, and securitized products setup.CMD (Commodities Derivatives) – Futures, forwards, and commodity-linked structures.EQD (Equity Derivatives) – Equity swaps, options, and structured equity notes.MM (Money Market) – Deposits, loans, and short-term funding instruments.