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Murex Market Risk Developer
2 weeks ago
**Project** Description**:
Our Customer is a Leading bank in Asia that provides a front to back integrated platform for straight through processing and risk management.
This is a multi-year initiative where different projects run in concurrence under the program's variety milestones. These streams include new product initiatives, new entity roll-outs and regulatory compliances.
We will have key roles in projects such as managing the scope, design and delivering requirements from front to back office with Luxoft.
**Responsibilities**:
- Understand Murex MRA/MLC and Modules.
- Report/Datamart configuration and development using MRA views, LRB and conventional creation class
- PL SQL scripting, EOD processing (using Control M) and optimization of scripts
- Build a strong relationship and manage expectations with users and stake holders.
**Skills**:
Must have
- 1-2 years experience working on MUREX v3.
- Experience working in the capital markets industry with relevant experience in systems analysis, design and testing
- Experience in eliciting requirements, mapping financial and business requirements to system capabilities, and documenting business functional specifications
- Proven ability in building effective relationships with both business and technology stakeholders
- Deep functional knowledge of structured products as well as front to back trade lifecycle & process flows
- Excellent inter-personal & communication skills with strong customer focus, to be able to communicate to various stakeholders in a clear, concise and logical manner
- Experience with Enterprise Market Risk Monitor, Market Risk Aggregation, and Limits modules in Murex
- Technical background (basic use of Unix commands, Oracle and PLSQL to run queries if required)
Nice to have
NA
**Languages**:
English: C2 Proficient
**Seniority**:
Junior
**Relocation package**:
If needed, we can help you with relocation process.
Vacancy Specialization
Murex
Ref Number
VR-95393