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Contract - Murex Risk - Business Analyst

3 months ago


Singapore TANGSPAC CONSULTING PTE LTD Full time
Roles & Responsibilities

Key Responsibilities

  • Self-motivated risk management professional with a focus on delivering strategic change solutions to enhance effectiveness in traded risk management
  • Candidate should possess a comprehensive understanding of regulations related to "Minimum requirement of Market Risk capital charge"
  • Proficient in Murex modules with 7 to 10 years of hands-on experience in MRE, MRA, Murex Limit Controller, Simulation, and pricing modules
  • Additional beneficial skill sets encompass margining, collateral, or relevant credit risk methodologies
  • Experience in overseeing and implementing trading platforms for Treasury products globally, integrated with the organization's treasury product systems
  • Effective team player with outstanding communication & interpersonal skills
  • Skilled problem solver capable of analyzing proposed solutions and business motivations
  • Demonstrates strong organizational and leadership capabilities
  • Proven track record of over 10 years in developing and delivering IT capabilities for multinational/regional companies with budgetary responsibilities
  • Proficient in articulating with technical stakeholders and non-technical counterparts
  • Strong problem-solving, analytical, synthesis, system thinking, and solution-oriented skills
  • Ability to identify, monitor, and address project risks, issues, and dependencies while aligning with sponsors and key stakeholders
  • Effective influencing skills to foster alignment throughout the organization
  • Background in implementing large-scale, highly available applications or other significant project deployments
  • Result-focused individual with a dedication to delivery
  • Thorough understanding and experience in the software development cycle

Job Requirements:

Preferred Requirements:

  • Experience with MUREX
  • Proficiency in VaR, MRA, MRE Configurations
  • Understanding of model assignments, Market data, Rate curves, etc.
  • Knowledge in simulations, pricing, market data, and datamart modules
  • Strong technical and functional background

Education:

  • Bachelor's or Master's degree in computer science, engineering, or Finance domain
  • Related professional/technical qualifications are advantageous but not obligatory
  • Proficiency in Murex is essential
About the Job & Company

This role is ideal for a seasoned risk management professional who excels in delivering innovative solutions to enhance traded risk management strategies. The company is seeking individuals with a strong background in Murex modules and a track record of successfully implementing trading platforms for Treasury products on a global scale. Excellent communication, problem-solving, and leadership skills are pivotal for this role, ensuring effective collaboration with diverse stakeholders. Join a dynamic team and contribute to the continuous improvement of risk management processes