Murex Risk Analyst
1 week ago
This is 12 months renewable contract to start with
This role is for the Global Markets Programme – Risk Project implementation using Murex v3. The role is based in Singapore and requires interaction with users and stake holders in Singapore & overseas.
The system analyst role is responsible for the delivery of strategic projects or tactical changes for the bank's treasury division. The focus is on the roll out of the Murex - Risk related deliveries for UOB Singapore and branches. The role requires the successful candidate to gather requirements, work with the vendors and drive the testing with the end users to ensure a successful deployment of the project.
Key Responsibilities:
Self-motivated risk management professional with an interest in delivering strategic change solutions to enable effective solutions around traded risk management
Good understanding of key market risk concepts (eg. traded products, VaR, stress testing, risk/limit management)
Good understanding of key credit risk concepts (eg. traded products, counterparty risk, credit approval process, limit management, excess management)
Strong technical knowledge specially in Murex domain
Good business domain knowledge of banking & trading book
Good understanding of datamart and simulation module in GMP
Highly effective communicating with technical stakeholders, proficient communicating with non-technical stakeholders
Good problem solving, analytical, synthesis, system thinking and solutioning skills
Ability to identify, monitor and manage project risks, issues and dependencies, and agree appropriate solutions with sponsors and key stakeholders
Strong influencing skills to achieve alignment up and down the organization
Experience in implementing large-scale, highly available applications or other large project implementation
Proven result-oriented person with a focus on delivery
Good understanding and experience in software development cycle
Requirement:
• Experience working with MUREX
• Functional understanding of counterparty risk and pfe
• Experience in product pricing methodologies
• Experience in VaR, MRA, MRE Configurations
• Understanding of the model assignments, market data, Rate curves etc.
• Understanding of simulations and datamart module
• Strong technical & functional background
• Bachelor's or Masters degree in computer science, engineering or in Finance domain
• Related professional/technical qualification will be advantageous although not mandatory
• Strong Murex Knowledge
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