Murex Fo
1 day ago
**Project** Description**:
The company drives all Murex change work at Tier-1 Australia Bank.
Currently, will look to take on all Murex functional, technical and environments management support within a single globally distributed team (Sydney / London / Bangalore).
**Responsibilities**:
You will be a Front Office Business Analyst Lead focusing on a varied portfolio of work, including FX and IRD Murex configuration and functional BA work.
Leadership on solution design for Front office processing in Murex will be expected. You have the opportunity to help shape the teams role and responsibilities and help implement new technologies and processes to expand and deepen test coverage and improve time to release.
**Skills**:
Must have
- The role requires a strong financial markets background across a range of asset classes (Interest Rates Derivatives, Foreign Exchange Derivatives, Credit Derivatives, Commodities, Securities Finance, etc) and Exposure to Credit Risk.
- The day-to-day work involves translating Front-Office/Risk Business requirements into Murex specifications, developing Murex configurations (Instruments creation, Curves, pricing, eTradepad, simulation views, etc) and problem solving interdependencies between Murex Credit Risk Engine and the wider credit systems landscape, including credit limits system.
- Design & setup Murex 3.1 (Front Office + Risk Modules)
- Strong problem solving and analytical skills required (quantitative analysis ability is a plus)
- Strong background in mathematics applied to Finance.
- Strong communication skills.
- Knowledge in SQL (Oracle and/or Sybase) and Unix commands is required.
Nice to have
- MRE Technical Integration exposure.
- Domain understanding of Market Risk, VaR/MRE Reports Development
- Murex Knowledge around - VaR, Simulation Viewer, Risk Matrices ( Implementation or migration projects), Murex Datamart and EOD, Static Data, GOM, Market Data, Market Operations
- Working-level knowledge around Unix & Syabse
- Murex Knowledge around - P&L, Middle Office, Dynamic Tables, Static Data, GOM, Market Data, Market Operations
- Domain knowledge:
- Strong domain understanding of Market Risk, VaR Reports
- Should possess an understanding of financial markets
- Knowledge of financial instruments such as Interest Rate Derivatives, Credit Derivatives, Currency Derivatives, Swaps, Futures, Options, FRA, etc.
**Languages**:
English: C2 Proficient
**Seniority**:
Senior
**Relocation package**:
If needed, we can help you with relocation process.
Vacancy Specialization
Murex
Ref Number
VR-74656
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