Full Stack EngineerThe Shareholder Reporting product area supports the applications that our business partners use to generate prospectus, SAI, financial statements, and regulatory filings. The qualified candidate will collaborate with developers, squad leads, operations, business partners and analysts to contribute to technology modernization and operational efficiency.The expertise and skills you bring:A Bachelor’s degree, preferably in Business, Finance, Accounting, Information Technology, or Management Information Systems5+ years of systems analysis experienceModerate to advanced knowledge of tools and techniques for presenting and analyzing data including SQL, Access, Excel, relational databases, XML, JSON, XSD, Postman and SQL developerExperience with security, portfolio and holdings data is a plusAffinity for data; where to get it, how to use it, what it meansA self-starter and excellent team member who is independent, collaborative, and can work with minimum supervisionDemonstrable expertise in system analysis methodologies and techniques, including data analysis, use case development, story writing, testing, and product documentationA highly curious and motivated learner with strong problem-solving skillsStrong written and verbal communication skills; Communicates clearly, concisely, and impactfully to influence othersApproaches work with an open mind and sense of creativity by challenging current practices and recommending improvementsAbility to navigate through ambiguous circumstances and demonstrate flexibility and adaptabilityGrowth mentality with a passion for continuous learning and developmentAble to understand the technology and software architecture of an applicationExcellent planning, organizational, and time management skillsDemonstrable ability to work in an Agile environment is preferredWe provide 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; overseeing delivery of fund trades to custodian banks; processing corporate actions; collecting securities income on behalf of the funds; balancing, reporting, and moving money in support of fund shareholder transactions; and leading fund liquidity.
The team builds and maintains shareholder reporting platforms.