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P R Teja

Mobile +91 7702158228.


Email : prteja@hotmail.com

Professional Summary

• 4 years Functional Testing & Business Analysis in liquidity Management (pooling & Cash con),
Wealth Management, Core Banking and Payments domain.
• Well versed in studying existing systems and procedures, designing applications, and facilitating
effective decision-making. Exposure at managing day to day business functions in co-ordination
with internal / external IT and business stakeholders for smooth delivery of projects
• Expert in obtaining a grasp of the business process and acting as a bridge between the Management
and the Development teams
• Managed the team of up to 5 testers, providing day to day planning, guidance, and coaching.
• Hands on experience in functional, GUI, integration, compatibility, regression,
infrastructure, cross-browser, system testing, verification & validation of specifications, manual test
case review and execution.
• Created comprehensive test execution based on the System Requirements, Business and Technical
Specifications
• Highly responsible and reliable lead with strong analytical problem-solving skills and initiative in
decision making
• Excellent communication, interpersonal, analytical, problem solving and people m anagement skills
• Dynamic team player who is consistently motivated towards success and completion of
projects with an ability to work independently

Technical Skills

Operating system Windows 98, XP, 7.


Test management Rational, Jira
Tools
Domain Banking (payments, Pooling and Cash con, Nostro accounts, Liquidity
investment solutions)
Defect management JIRA, HP Quality Center.
Tools
IT Skills Project Management, People management

Professional Profile

Employer Value Labs LLC (Hyderabad)


Designation Module lead
Dates of employment 13th May’22 till date.

Project: Wealth Management Services and Liquidity Management Services.

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Role: Module Lead
Client: Abu Dhabi Commercial Bank – UAE (onsite)
Responsibilities
 Ensuring end to end overview of the project in
relates all the phases starting from test designing
till sing off.
 Facilitation KT session during new functionality
deployment.
 Ensure are deliverables in place as per the ETA’s
provided by the testing team.
 Detailed view end to end view on test design, test
cases execution by the respective teams.
 Closely working with BA and product team to
ensure all the deliverables are on par.

Previous Employer HSBC Data Processing India Pvt Ltd.


Designation Assistant Manager
Dates of employment May 2008 - 12th May’22

Project: Liquidity Investment solutions


Role: Liquidity Solutions - Test Lead
Client: HSBC UK & US
Duration: 2 years
Responsibilities  Experience in providing testing solutions on various
liquidity and investment products.
 Reviewing and analyzing the functional specific
documents (FSD) received from application vendors as
part of new deployment releases.
 Closely working with BA and product team as part of
the design, development & testing of the new
functionalities.
 Conducting User Acceptance Testing (UAT) and
Production Verification Testing (PVT) whenever a new
functionality is being added to our investment
products.

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 Experience in gathering test requirements and
prerequisites data.
 Preparing the test scenarios and test plan.
 Execution of test scenarios in coordination with the
application vendor as per the test strategy.
 Raising the defects in Jira tool. As part of this process
raise defects and work until a fix has been provided
from the application vendor.
 Need to coordinate with SIT team to ensure no
duplicate defects are raised.
 Providing status updates on daily basis to product
team and stake holders.
 Ensuring to complete all the functional test
scenarios before the code freeze.
 Need to conduct regression testing once the
functional test scenarios were successfully
implemented.
 Monitoring and tracking test results. Providing
results walk through to the BA and product team.
 Need to take sign off from regional and global product
team before we offer this new functionality to the
clients.
 Been part of Go/Go No decision maker from UAT
team perspective before every new deployment.
 Providing heightened monitoring to our operations
team whenever a new
functionality is deployed into production
environment for over one week to avoid any
customer impact.
 Maintaining all the documentation evidencing every
action taken as part of the legal and Audit
requirement and keep them uploaded on the Global
Share Point.
 Training and mentoring new and existing resources on
process-related aspects.
 Experience in onboarding new clients into our
investment platform.
 Reviewing and analyzing the client documentation
received from client implementation team as part of
new customer on-boarding process.
 Conducting test trades whenever a new client or new
funds are added to our platform to ensure
connectivity is in place for smooth trading process.

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 Sending heads up mails to application vendor, Transfer
agents and fund houses to see if the integration is in
place and to ensure systems are ready for trading.
 Booking live trades on behalf of clients by placing the
requested constraints & restrictions as per the trade
parameters given by client implementation team.
 Timely monitoring of Trade orders including both
Onshore and Offshore trades.
 Identify and resolve trade discrepancies in a timely
manner to avoid customer impact.
 Sending incident communication to all the relevant
teams including client implementation team and
product team.

Project: FALCON Program


Role: Payments Test Analyst
Client: HSBC MENA
Duration: 1 year
Responsibilities

 Leading the Falcon Payments team.


 Validated payments module for different countries like
Egypt, Qatar, Bahrain, Oman, Kuwait, and UAE in
current project.
 Tested several message types for SWIFT payments and
have core banking knowledge.
 Preparing Test strategy, managing overall testing
activities,
 Scheduling daily stand-up with team and assign the
execution
 Make sure that Interfaces are available for testing and
raise risk if the interfaces are not available
 Monitor task completion and make sure team adheres
to Defect management process.
 Providing functional guidelines to team
 Test scenario and test execution walkthrough to
business
 Providing functional expertise to automation team
 Share daily status report with all the stakeholders.

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Project: Global Liquidity Engine
Role: Test Analyst
Client: HSBC EU
Duration: 1 year
Responsibilities  Conduct stand-up meeting and assigning tasks to team
members
 Understanding requirement from BA and review the
Functional test scenarios and test cases as per the
design document
 Involved in Peer Review Test cases
 Preparing the test data for the testing and running the
batches to verify the test cases
 Experience in Regression testing, adding the
regression test cases to the current release to ensure
the test coverage, assigning test cases to team
members
 Regression testing and executing the test cases
 Helping Automation team with preparing the data for
automation and function knowledge
 Experience in executing test cases, defect tracking and
verifying data in downstream systems
 Involved in UAT testing support, Regression,
Performance Testing.
 Providing Test Activity Completion Certificate

Banking Operations HDPI ( EU & MENA) 2008 – 2017

Asst Manager - Global Liquidity & Cash Management: Nostro Account Incident Investigation:
Involves identifying outstanding breaks by analyzing dept MI/reported by senior management.
Understanding & resolving issues by involving different stake holder (Product, Technical, vendors
and GRU teams) through effective stakeholder management to mitigate risk & minimizing the
client impact. Ensuring all the outstanding breaks are cleared and reconciled within stipulated
time frame which requires expertise in nostros and reconciliation process.
Finance Executive - Global trade and receivable finances: HSBC Invoice Finance (HIF)
process details activities related to reconciling Client’s ledgers and to verify eligible debt ready for
funding. (Trade debts). Accurate monthly reconciliation of Clients ledgers and Effective time
management & identify risk issues on Client’s Aged Debt Reports. Scrutiny of the transactions
under AML& Compliance.

Quality Analyst/Collections Advisor : The Portfolio revolves around collections of Cards, Loans
and Auto Loan accounts through varying levels of delinquencies. Thereby calling for strong
negotiation skills, decision-making and providing appropriate customer based solutions.

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Other Achievements

 Received multiple appreciations from product managers, BA and application


vendors across different investment platforms.
 Awarded “Super Star AM ” for performance excellence.
 Received rewards & recognitions from Business Partners and stake holder in
multiple occasions for exceeding the dept performance.

Education

 Master of Business administration from SMU.


 Bachelor of sciences from Acharya Nagarjuna University.

Extra-Curricular Activities
L & D Coordinator – responsible for consolidating the various learning requirements for my team. I was also
involved in evolving a training plan for the new joiners in the account, after interaction with various teams.
Fun at Work Committee Member – part of the Fun at work team, which organized at least one event per
quarter.

Personal Details

Name Ravi Teja Pediredla


Date of Birth 27th Jul’87
Current Address G-15, Madhura nagar, Hyderabad
Phone +91 7702158228
Email ID prteja@hotmail.com
Passport L4040221,

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