Murex Business Analyst - Mumbai, India - FinSurge

    FinSurge
    FinSurge Mumbai, India

    1 week ago

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    Description

    JD Murex FO Business AnalystJob BriefThe 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 processeseTradepad and Simulation viewerCurves, indices, generators, bonds, PnL variance and pricingReview of yield curves, RTI feeds and associated generatorsP& L reports for traders and financial controlTrade events and expected behavior of P& L and risk figuresMarket Operations and trade workflowsCarry 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 amendmentsInteracting with client relationship manager to ensure timely resolution of issues or quality delivery of the requisite functionalityInteract with business users to impart training on various functionalities of Murex system and financial productsAgile, Jira and Confluence working experience.

    KEY MEASURABLESDelivery of individual tasks and overall projects on time and of a high qualityEnsuring successful go lives with minimal post go live issuesStakeholder feedback (business, technology, developer and vendors).KNOWLEDGE, SKILLS AND EXPERIENCEHands 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 modelsE-tradepad booking templates & FormulasSimulations & Data DictionaryMarket Data & Curve ConfigurationUnderstanding Trade workflowPL VaR & Live BookUnderstanding of Murex's 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& LWorking knowledge of VaRWork 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.