Description
Singapore, SingaporeMurex ERM
BCM Industry
11/04/2024
Req. VR-103229
Project description:
We've been engaged by a large Australian financial institution to provide resources to their Murex Testing team working on a wide range of projects from regulatory engagements, to binary upgrades to providing testing services.
This project will require business analysts to assist in the build and configuration of a new market risk module Luxoft have been engaged on this multi-year risk module implementation and will be supplying developer, risk BA and testing resources to help our client with their aim of replacing their legacy market risk system for Murex 3.1 ERM module.
Joining this program you will have the benefit of working with an established client team, fully involved from the project initiation (POC of the market risk vendor platform) through to project implementation, not only for the Murex system but also upstream systems, such as the managed market data service provider.
Responsibilities:
Murex Application Responsibility:
Has strong analytical and problem-solving skills, and excellent communication and interpersonal skills for interacting with business users and the vendor
Works closely with Risk & MO users in understanding requirements to build new market risk valuation functionality
Often works individually in producing and delivering solutions that meet Risk & MO requirements
Analyses and resolves issues related to system configuration, Risk, pricing, P&L, sensitivities, market data, market operations, EOD, interfaces, etc
Provides detailed information about issues to the vendor, and co-ordinates with them in testing fixes / solutions
Acts as an intermediary between business and vendor
Works on small BAU projects to deliver extended functionality and enhancements to the Risk & MO users, and is familiar with the systems development life cycle
Provides training to business users and assists the business in adapting to the Murex environment
Ensures documentation and deliverables are consistent with defined standards
Has the ability to work under pressure to resolve critical issues and meet project deliverables VaR:
Assist in Risk report creation using MRA/MRB, PL impact analysis or scenarios upload.
Analyze the VaR of a portfolio to instrument or deal level.
Explain the scenarios creation and how they're applied in Murex market risk module.
Configure any additional MRB reports and MRA views - Support the market risk team for queries/ issues. Support statistical analysis reports
Analyze and support the Backtesting results.
If VaR data is interfaced into any other external system, any discrepancies in the data files are also supported.
Skills:
Must have
5+ Years of relevant Murex experience with Technical knowledge in SQL and Unix
Programming skills (Python, Shell, etc)
Murex ERM implementation experience (Market Risk, PFE, XVA)
Client focus:
able to understand business needs and identify and solve problems leveraging on previous experience
Experience supporting Risk users resolving their daily issues
Understanding of Murex DataMart and FO module
Trade life cycle
Automation tools experience (Autosys, Control-M, etc) Domain knowledge:
Strong domain understanding of Market Risk and ideally FRTB
Strong domain of financial markets
Knowledge on financial instruments such as Interest Rate Derivatives, Credit Derivatives, Currency Derivatives, Swps, Futures and options, FRA etc.
Nice to have
Working level knowledge around Unix & Sybase
Murex Knowledge around FO and Datamart and MLC
P&L, Middle Office, Dynamic Tables, Static Data, GOM, Market Data, Market Operations
Deeper understanding of financial markets from a non-risk and MO perspective
Other:
Languages
English:
C1 Advanced
Seniority
Regular
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