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▷ (15h Left) Murex Market Risk BA

▷ (15h Left) Murex Market Risk BA

Luxoft IndiaIndia
2 days ago
Job description

Responsibilities

Solution design from scratch.

FRTB / MR related configurations.

Stakeholder management.

FO Dev implementations including curves setup, sim views, PL analysis, etc.

End to end ownership of tasks in cooperation with Dev and Testing team.

Skills (Must have)

4+ years of Murex Market Risk configuration experience

Business knowledge of some of the following areas is essential

Knowledge of PL Analysis in Murex at deal and portfolio level

Implementing changes in Murex that are Risk related, such as Rate curve configuration, Risk Matrices.

Knowledge of key Market Risk metrics (e.g. VaR, FRTB) and other market risk methodologies.

Product knowledge in any of the following asset classes, FX, IRDs, Fixed Income, Bonds, Commodities, Equities.

Initial diagnosis of problems, for a system or sub-system or apply known solutions, including documenting problems, progress checking, and escalation to ensure resolution

Technical knowledge in the following areas will be preferred

Knowledge of Murex 3.1, along with the technical configuration and management of platform services.

Some experience in the following : GIT, Artifactory, Jenkins, scripting (shell & Perl), SQL, Control-M, Unix, and Java process knowledge.

Design, development, and maintenance of Murex workflows to manage, import / export events of trades and static data with external systems

Interface development

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15H Left • India

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