Principal Murex Credit Risk System Analyst
4 weeks ago
Project Description
Our client, a leading bank based in Singapore, is in the process of setting up an end-to-end integrated platform for smooth processing and managing risks. This is a long-term project involving various implementation tasks happening simultaneously, such as launching new products, new entities, and ensuring compliance with regulations.
Responsibilities
- Analyze user needs and develop internal reports for business users.
- Utilize UNIX shell scripts, SQL, and other languages for automated interfaces between Murex and other applications.
- Collaborate effectively with project managers, business analysts, business users, and external vendors.
Skills
Must Have
- Minimum 9 years of experience with Murex.
- Self-driven risk management professional with a keen interest in implementing strategic changes for effective risk management solutions.
- Proficient in Value at Risk (VaR), Historical Simulation, Stress Testing, Back Testing, and utilizing risk factor/market data for Scenario Generation.
- Experience in Market and Credit Risk.
- Prior exposure to MRE, MRA, MRB, & MLC.
- Database and SQL proficiency.
- Strong technical acumen, especially in the Murex domain.
- Sound knowledge of banking and trading book domain.
- Understanding of datamart and simulation module in GMP.
- Successful track record in developing IT capabilities for multinational/regional companies with budgetary responsibilities.
- Effective communication skills with both technical and non-technical stakeholders.
- Excellent problem-solving, analytical, and solutioning skills.
- Ability to identify, monitor, and manage project risks, issues, and dependencies.
- Proficient in influencing stakeholders at all levels.
- Experience in implementing large-scale, highly available applications or other significant projects.
- Results-oriented individual with a focus on delivery.
- Understanding and experience in the software development cycle.
Nice to Have
N/A
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