Murex Market Risk Consultant

3 days ago


Kuala Lumpur, Malaysia Luxoft Full time

**Project description**:
DXC-Luxoft has one of the world's leading Murex practices. We are a top-tier Murex Alliance Partner and a market leader in implementation, integration, upgrade and migration. We provide end-to end project services and have delivered over 200 successful Murex projects across all major asset-classes and sectors including investment banking, asset management, corporate treasury and insurance.

**Responsibilities**:

- Liaise with Business users for Market risk specific requirements
- Translate and cascade Business requirements to Tech /Dev Teams
- Participate and contribute to System Design sessions
- Validate the Tech deliverables against the Specified Business requirements
- Timely Feedback to Tech teams for features requiring code changes
- Work with Business users for UAT and subsequent sign offs
- Representing Treasury & Markets (T&M) in inter-departmental working committees such as PWC, acting as a key liaison to ensure business priorities are accurately reflected in cross-functional initiatives.
- Assessing Existing Trading and Dealing Systems used by T&M teams to identify gaps and propose targeted system and process enhancements that improve efficiency, accuracy, and user experience.
- Mapping Business Processes to System Requirements, ensuring that core operational and trading workflows are accurately captured and reflected in the design and development of new technology solutions.
- Communicating Findings Effectively to business users and department heads through clear visual representations, analogies, and structured documentation to facilitate understanding and decision-making.
- Ensuring Compliance of New IT Solutions with internal policies, regulatory standards, and risk control frameworks, supporting audit readiness and operational integrity.

**Skills**:
Must have
- 5+ years of experience in financial services, with a focus on Murex risk management
- Knowledge and work experience on Market Risk.
- Strong understanding of market risk management principles, including VaR
- Familiarity with Market Risk Aggregation (MRA) and Market Risk Engine (MRE) configurations.
- Knowledge of regulatory frameworks, particularly FRTB.
- Should have prior implementation experience of Historic Var, Counterparty Var, stressed Var etc.
- Should be adept in Business Documentation like BRDs and FSDs
- Hands-on experience with Murex trading platform desirable, especially in trade booking, lifecycle events, and integration workflows.
- Proficiency in JIRA for agile project tracking and Confluence for documentation and collaboration.
- Proven experience as a Business Analyst in financial services, banking, or technology domains.
- Strong understanding of trade lifecycle, treasury products (FX, derivatives, fixed income), and settlement processes.
- Ability to manage multiple priorities and work in a fast-paced, agile environment

Nice to have
- Knowledge on Murex (e-tradepad, simulation, Limits, Livebook, Mxml, Datamart etc)
- Understanding of basic Java/Object oriented programming/Microservices/SQL/Openshift/CI/CD tools (Git hub/jenkins)/Shell scripting is desirable

**Other**:

- Languages
- English: C2 Proficient- Seniority
- Senior

Kuala Lumpur, Malaysia

Req. VR-119137

Murex ERM

BCM Industry

19/11/2025

Req. VR-119137



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