SKILLS Must have 10+ years of total experience with 6+ years of Murex experience. A strong, functional understanding of fixed income, treasury, and interest rate derivatives products. A working knowledge of Murex GOM and hands-on experience with various front-office, accounting, and risk modules within MX.3. Experience in requirement analysis and solution delivery for front office and business stakeholders, especially within the rates & credit trading business. Experience in dealing with Risk, Product Control and/or Front Office stakeholders across an Investment Bank/ Global Treasury. Good hands-on knowledge of Murex specific FO configuration skills (instruments, generators, curves, market data, market conventions). Good understanding of Murex specific FO modules (Simulation screens, Simulation Viewer, eTradepad, P&L notepad, market operations, etc.). Good knowledge of how to analyze P&L and sensitivity issues within Murex.
You are: Motivated by exceeding expectations. Able to effectively prioritize, delegate and troubleshoot to support team deliverables. Proactive, detail-oriented and can anticipate needs. Not just focused on delivering, but always thinking about what we can do better.
Nice to have .
#J-18808-Ljbffr