The Role
The FFIO Technology team is looking for an experienced Senior Full Stack Engineer to join their team to deliver next generation Global Middle Office platforms in the cloud as part of a multiyear pivotal initiative to modernize and improve pricing capabilities. The position is based in Westlake, Texas and will do hands on development and provide technical leadership and mentorship for junior members of the team.
The Expertise and Skills You Bring
A solid foundation in software engineering – bachelor’s degree + preferred, 8+ years experience
Expertise with Core Java technologies and frameworks like Spring Boot
Firm grasp of AWS or other cloud platforms and containerization technologies such as ECS and Docker
Good understanding of Angular framework
Experience with SQL and stored procedures. Oracle database preferred
Experience with the following technologies: Spring, myBatis, REST/Web Services, Maven, Typescript, XML, Apache Tomcat, Swagger, Message Queue
Experience building and deploying cloud enabled applications using 12 factor design.
Experience building and deploying applications using continuous integration pipelines and automated deployment tools such as Jenkins
Passionate and committed to learning new things and developing with the latest technologies and frameworks
Work well in both a small agile team and independently, having a strong user focus
Strong analytical, communication, and organizational skills and the ability to handle multiple tasks at a given time
The Value You Deliver
Work with product management on requirements, decompose epics into stories, and deliver solutions that meet or exceed customer expectations
Build scalable, resilient, cloud-based systems aligned with our long-term strategy
Provide outstanding support, including on-call support when necessary
Mentor junior software engineers
The Team
Fidelity Fund Investment Operations (FFIO) provides accounting and investment management support services for Fidelity mutual funds and other retail and institutional investment products. These services include calculating and distributing NAVs, distribution rates and yields for a wide variety of investment products; preparing fund financial statements, dividend estimates and tax returns; monitoring delivery of fund trades to custodian banks; processing corporate actions; collecting securities income on behalf of the funds; reconciling, reporting and moving money in support of fund shareholder transactions; and managing fund liquidity.
Certifications: