AI-generated summary
This job is for a Murex Market Risk Consultant, where you'll bridge the gap between business needs and tech solutions in finance. You might like this job because you get to work on diverse projects and help optimize trading systems.
Undisclosed
Kuala Lumpur Malaysia, Kuala Lumpur
Full-Time
few hours ago
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.
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.
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
Languages
English: C2 Proficient
Seniority
Senior
Enjoy coming to a workplace where you’re treated with respect within a multicultural team.
Take part in fun, international social activities organized for your location.
Open the door to new career opportunities by transferring to new projects or teams.
Dive into a wealth of learning that’s at your fingertips with our vast online library of eBooks and resources.
Support your (me-time) by setting up a flexible working arrangement.
Take advantage of health programs, diversity and inclusion events and sporting activities to keep you fit and well.
Last active - few hours ago
0 - 10 Years of Experience
