Operations (Post-Trade) - Position Management Product Owner

Job ID:  38704
Location:  PARIS (FRA)

 

 

Murex is a global fintech leader in trading, risk management and processing solutions for capital markets.

Operating from our 19 offices, 2500 Murexians from over 60 different nationalities ensure the development, implementation and support of our platform which is used by banks, asset managers, corporations and utilities, across the world.

Join Murex and work on the challenges of an industry at the forefront of innovation and thrive in a people-centric environment.

You’ll be part of one global team where you can learn fast and stay true to yourself.

 

 

 

Team and context : 

Our team manages the definition, evolution and development of Position Management solutions for securities and other fungible products. We are involved in the whole production chain of the platform from the definition of requirements to the presales activities, driving important steps as the development execution, the packaging of the solution and the communication to the client services.

 

 

 

Your missions / What you'll do :

As a Position Management product management team member you will have the opportunity to work with consultants and developers in a dedicated agile team, working with the SAFE methodology. You will fulfill the role of Product Owner within the agile team. You will help specifying the implementation and taking functional design choices. You will drive the testing plan of the implemented features, corresponding with the quality assurance domain to automate these tests.

You will work on the support of the Position Management solutions (eg. Liquidation module, Corporate Actions), providing answers and solutions to  the client services with a high level of business and software expertise.

You will be responsible for driving requirements from their definition to the packaging of their solution, ensuring a good visibility and understanding from client services and presales teams.

 

 

 

 

Your profile : 

 

Master degree (engineering school or university) and at least 5 years of experience

Good knowledge of the financial markets and especially securities (bonds, equities, corporate actions concepts should not be unknown to you)

Not afraid of discussing technical aspects with the development team (SQL, algorithm)

Curious and driven by the quality of the implemented software features, and the quality of the packaged solution

A first experience on securities, liquidation is a plus.