Enterprise Risk Consultant
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.
As a member of the Enterprise Risk Management (ERM) team, you are accountable for support and implementation of the Murex risk management solutions, which includes:
- Credit risk
- Market risk
- Risk control and operations (e.g. limits management)
Job scope:
- Client relationship & support
- Manage production support and enhancement requests, including analysis, configuration, validation testing and deployment
- Contribute/Lead daily communication with client IT support desk and risk end-users
- Liaise with product and release management teams for scheduling of client delivery
- Work with client manager on activity dashboard and various risk management presentation
- Organize and conduct end-user and IT training
- Project
- Contribute/Lead the implementation effort including configuration, validation testing and deployment of the required solution, as well as contribution to project management activities (e.g. status dashboard, documentation)
- Product evolution
- Contribute/Lead the continuous communication with Murex development team to convey clients’ feedback and assist in product improvement.
To be successful in the role, you should possess:
- Degree in Computer Science, Engineering and/or Master in Financial Engineering, Applied Finance/Statistics/Mathematics, Computational Finance
- 1 to 3 years of relevant functional/technical experience. Fresh graduates with strong passion in Finance and Technology are welcomed to apply!
- Solid knowledge in financial risk management
- Solid knowledge in financial computation concepts
- IT Knowledge e.g. SQL, XML, Unix script
- Knowledge of (or strong interest) in Treasury and Capital Markets
- Working experience in client support and implementation of trading or risk management solutions in financial institutions
- An action-oriented personality
- Keen client orientation
- Ability to travel within APAC region
You should be a:
- Systematic problem solver with critical thinking abilities
- Strong presenter and effective communicator
- Collaborative team player
Why be a Murexian
- Join a global market leader with a strong people-first focus
- Be part of a diverse and inclusive team
- Work in an agile environment where you can collaborate with global teams from various expertise
- Opportunity to travel the world!