Location - Mumbai & Malaysia
Experience - Min of 8yr in Murex
Job Brief
The Murex FO Business Analyst will assist in delivering this programmed by : Experience in configuring and good understanding of FO Commodity products and analyze the migration impact, configure and test the following:
- FO, Risk, P& L, Cash flow and Accounting processes
- eTradepad and Simulation viewer
- Curves, indices, generators, bonds, PnL variance and pricing
- Review of yield curves, RTI feeds and associated generators
- P& L reports for traders and financial control
- Trade events and expected behavior of P& L and risk figures
- Market Operations and trade workflows
- Carry out the Analysis of the issues raised by the client, classify them appropriately as bug/ enhancement, suggest appropriate resolution action and ensure delivery of the same.
- Interacting with client users to gather business requirements for identified enhancements or amendments
- Interacting with client relationship manager to ensure timely resolution of issues or quality delivery of the requisite functionality
- Interact with business users to impart training on various functionalities of Murex system and financial products
- Agile, Jira and Confluence working experience.
KEY MEASURABLES:
- Delivery of individual tasks and overall projects on time and of a high quality
- Ensuring successful go lives with minimal post go live issues
- Stakeholder feedback (business, technology, developer and vendors).
KNOWLEDGE, SKILLS AND EXPERIENCE:
- Hands on experience in migration activities of a front to back programmed in Banking or large corporate treasury.
- Experience in Murex 3.1 as FO Consultant with more than 5 years of experience is required.
- Good understanding and working experience ofPricing models
- E-tradepad booking templates & Formulas Simulations & Data Dictionary, Market Data & Curve Configuration, Understanding Trade workflow, PL VaR & Live Book
- Understanding of Murex&aposs Risk Measures (Sensitivities, Greeks, VaR, Credit Risk).
- Product knowledge FXO, IRD, FX cash, MM, Fixed Income, Equities, Commodities, credit derivative and OTC Derivatives.
- Good understanding of Valuation & Sensitivity calculations.
- Understanding of Market Data sources, cleansing and its impact to P& L and Working knowledge of VaR
- Work experience in migration of Mx 2.11 to Mx3.1 for leading financial institution would be desired.
- Ability to work proactively, independently when necessary and displays strong initiative.
- Multicultural awareness.
- Strong communication and presentation skills, with an excellent standard of English (written and spoken) & Excellent team player.