
Murex Trader
4 days ago
Murex XVA Specialist
Key Responsibilities:
- A highly 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 (e.g., traded products, Value at Risk, stress testing, risk/limit management).
- Good understanding of key credit risk concepts (e.g., traded products, counterparty risk, credit approval process, limit management, excess management).
- Strong technical knowledge, especially in Murex domain.
- Good business domain knowledge of banking & trading book.
- Good understanding of datamart and simulation module in GMP.
- Highly effective communication with technical stakeholders and proficient communication 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 on 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 implementations.
- Proven result-oriented person with a focus on delivery.
- Good understanding and experience in software development cycle.
Required Skills:
- Experience working with MUREX.
- Functional understanding of counterparty risk and Potential Future Exposure.
- Experience in product pricing methodologies.
- Experience in VaR, Market Risk Assessment, Market Risk Estimation configurations.
- Understanding of model assignments, market data, rate curves, etc.
- Understanding of simulations and datamart module.
- Strong technical & functional background.
Education:
- Bachelor's or Master's 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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