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Intellimatch Business Analyst
Successfully
Req. VR-119030
Our client is a leading commodity trading and logistics company.
They are committed to building and maintaining world-class IT applications and infrastructure.
The Trading IT group directly supports the trading business, and this business has started a far-reaching programme to enhance and improve its trading applications using an innovative architecture to support business growth across the full range of business lines and geographies, and to enable the sharing of systems across different businesses.
Client has embarked on an initiative to migrate from Gresham to Xceptor for reconciliation. The Business Analyst will support the migration of reconciliation processes from Gresham to the Xceptor platform, working closely with business stakeholders, reconciliation teams, and the implementation team. The role involves requirement gathering, process analysis, reconciliation design validation, data mapping, testing coordination, and migration support.
1) Requirements & Process Analysis
Engage business users and reconciliation SMEs to understand existing reconciliation processes in Gresham.
Document AS-IS reconciliation workflows, rules, matching logic, and exception handling.
Define TO-BE processes in Xceptor aligned with business requirements.
Prepare:
=> Business Requirement Documents (BRD)
=> Functional Specifications
=> Process flow diagrams
=> Reconciliation design documentation
2) Migration & Data Mapping
Analyze reconciliation configurations in Gresham and translate them into Xceptor requirements.
Define:
=> Data source mappings
=> Field-level transformation logic
=> Matching rules
=> Exception workflows
Support reconciliation inventory and migration planning.
3) Stakeholder Coordination
Act as liaison between:
=> Business users
=> Finance / Operations teams
=> Xceptor configuration team
=> Data / integration teams
Conduct requirement workshops and solution walkthroughs.
Provide regular status updates to project stakeholders.
4) Testing & Validation
Prepare:
=> Test scenarios
=> Test cases
=> UAT documentation
=> Coordinate SIT and UAT cycles.
=> Support defect triage and resolution.
=> Validate migrated reconciliations and balances.
5) Documentation & Governance
Maintain migration documentation and traceability matrix.
Ensure requirements are aligned with reconciliation control standards.
Support go-live readiness activities.
Must have
Knowledge & Experience:
-8+ years of hands-on reconciliation development experience using FIS IntelliMatch or equivalent platforms.
-Strong technical expertise with SQL scripting, shell scripts, and debugging complex systems.
-In-depth business knowledge of financial instruments including OTC Derivatives.
-Minimum 5 years of experience in IT engineering/development for business applications in financial services.
-Excellent problem-solving, analytical, and communication skills with a track record of delivering high-quality solutions.
Attributes:
Independent delivery and ownership-focused
End-to-end process mindset
Able to self-manage, collaborate, and regularly prioritize and manage activities across multiple workstreams
Good communicator, engaging, and able to work with offshore teams across various time zones
Excellent written and verbal communication skills
Ability to make data-driven decisions & thrive in a fast-paced environment
Nice to have
Na
Languages
English: C2 Proficient
Seniority
Regular
Bengaluru, India
Req. VR-119030
Other Vendor specific (Quantum, Coremont etc.)
BCM Industry
09/02/2026
Req. VR-119030
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