Murex Market Risk System Analyst

4 weeks ago


Kuala Lumpur, Kuala Lumpur, Malaysia Luxoft Full time

Project description

Our Customer is a Leading bank headquartered in Singapore implementing 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 across streams including: new product initiatives, new entity roll-outs and regulatory compliances.
The project you will be working on is a multi-year initiative looking to implement market-risk FRTB IMA for the customer by 2025.
This project is a great opportunity for the successful candidate to gain or extend in-depth knowledge on FRTB IMA and/or Murex market risk implementation.

Responsibilities

  • Manage and analyse business requirements into a solution design, managing user requirements workshops and formulation of an overall solution design, modelling transactions through the system to ensure that the business requirements are met.
  • Hands-on Techno-Functional role to analysis and propose solutions for business issues, process changes and functional requirements.
  • Work with different technology teams across infrastructure, and other divisions to deliver system solutions for the business.
  • Collaborate with stakeholders on their priorities, needs as well as system improvements.
  • Build a strong relationship and manage expectations with users and stake holders.

SKILLS

Must have

  • We are looking for a Senior System Analyst with 10-15 years of Market risk experience, who can drive our project activities to completion
  • Murex FRTB SA experience is a must
  • Experience working in the financial industry with relevant experience in business analysis or in core Market Risk module and project implementation
  • Candidate must have thorough understanding of regulation on "Minimum requirement of Market Risk capital charge"
  • Murex experience or at least technical skills is a must
  • Ability to drive and lead a team of SA's
  • Strong ownership and accountability
  • Strong team player with excellent communication & inter-personal skills.
  • Strong problem solver who can question and understand proposed solutions and business drivers.
  • Strong organizational and leadership skills
  • Able to negotiate and influence stakeholders through knowledge of Market Risk subject matter

Nice to have


• Previous experience in FRTB IMA

• Previous experience on implementing Fundamental Review of Trading Book (FRTB SA and IMA) SIMM(Standard Initial Margining Model), xVA is preferred

• Margining, collateral or related credit risk methodologies

• Experience in managing and delivery of trading platforms for Treasury products on a global scale, integrated within the organizations treasury product systems


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