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5.0 - 10.0 years
17 - 22 Lacs
Bengaluru
Work from Office
Project description We require an experienced MxML developer with strong knowledge of Murex, experience in MxML solution design, and broad exposure to financial markets. You will be working as a subject matter expert in a team of Murex Developers on a variety of tasks. Responsibilities Murex Responsibility Write transformation logic for source data format to Murex understandable format (MxML) Create MxML import and export workflows using MxML Exchange Build a reconciliation process across source and destination Configure Messaging queues for real-time interfacing Document Functional, Technical Specifications, and Test Cases for integration Produce exception reports for failures Configure and build Murex Reports for report-based interfaces Build custom tasks in MxML Exchange for specific processing not available through the standard task library Skills Must have Murex Knowledge of around 5+ years on Murex/MxML Exchange, Contract, or Deliverable workflows Good exposure to writing/coding MxML formulas Has previously developed interfaces (Deals, Static Data) via Murex (both upstream and Downstream) Has Knowledge of XML Transformations, document generation, and template generation from MxML Has knowledge of various tasks in MxML and how they work Nice to have DevOps on Murex experience (GIT, Jenkins, JIRA, etc) Technical solution design experience and start-to-end solution ownership Experience with Interest Rate Derivatives, FX Derivatives
Posted 3 weeks ago
2.0 - 7.0 years
16 - 20 Lacs
Bengaluru
Work from Office
Project description We are excited to partner with one of our existing major Commodity Trading clients on their Murex Binary Upgrade project. This initiative involves upgrading from the current Murex version 40 to the latest version 60, with significant changes across all Murex modules. By joining this program, you'll have the opportunity to work closely with a well-established client team, actively participating from project initiation through to implementation. Responsibilities You will be a Murex Quality Assurance (QA) Analyst focusing on Define Murex test strategy and test cases for your squad's work Execute the agreed Murex test cases Analyze Murex test run outputs, identify, analyze, and remediate issues. Design and automate test cases using Mxtest You will be working in a team of Murex Test Analysts through ST, SIT & working with the business to execute UAT. The testing platform used by the client is MxTest. Due to the large established MxTest implementation, this is an ideal role for Murex test candidates who want to gain experience in MxTest which is being used more and more frequently with Murex clients around the world. Skills Must have 2+ Years of strong experience in a similar role. 2+ years of Murex MxTest/Onyx experience (both implementing and running tests) Markets Trading system experience, Murex, FX, IR, Commodities (Front to back testing experience) Experience in SQL & Unix is mandatory Experience in software testing and technical business analysis Self-starter & independent Excellent communication skills Agile testing experience Nice to have Murex Performance testing Binary upgrade experience is beneficial and adds value to the role DevOps on Murex experience (GIT, Jenkins, JIRA, etc) Batch processing testing Control-M
Posted 3 weeks ago
6.0 - 8.0 years
15 - 19 Lacs
Bengaluru
Work from Office
Project description We've been engaged by a large Australian financial institution to provide resources to their upcoming Murex Binary Upgrade project. This Bank is considering moving from Current Murex version 42 to latest higher version ( V56 or 58) to include changes Majorly impacting the Collateral / Market Risk / Credit Risk/ Ops and settlement functionalities and modules. There are also some impacts in MX technical areas, Reporting and EODs. We require an experienced Murex Senior Credit Risk Consultant as a part of this upgrade project. Responsibilities Work in Binary upgrade program and help in Analysis of Breaks Participate in various changes and projects for the Bank Participate in Requirement Analysis and Feasibility study for Accounting module implementation in Murex Engage with End users to capture and document the requirements Design and configure rules, filters, and formulas for the Accounting Rules Supporting in Day to day accounting related issues for product controllers Reconcile base and targeting accounting results sets to identify discrepancies and the possible causes Documenting the deliverables as per the Design council standards Skills Must have 6 to 8 years of relevant experience as Murex Accounting Developer Knowledge of Trade live cycle and events and how they are handled in Murex for FX Cash and Derivatives, Money Market, Commodity, Fixed income, and IRD Products Experience in setting up Accounting rules, accounts, filters, and formulas Experience in troubleshooting in Murex Trade Accounting, position accounting, and flow accounting modules Experience in Accounting configuration setup and Murex EOD Experience in Liquidation module of Murex Accounting Good understanding of the concept of Journal posting and balances generation in Murex Good understanding of Murex Functionality, Trade booking and Market operation, Trade event processing, Settlement, fixing, Netting, One Stop Processing Prior Experience in binary upgrade will be an advantage Nice to have NA
Posted 3 weeks ago
8.0 - 13.0 years
22 - 27 Lacs
Bengaluru
Work from Office
Project description This role is for a Senior Scrum Master in the Treasury and Capital Markets domain, responsible for managing and delivering complex initiatives across treasury functions and capital markets within a financial institution. Projects may involve implementing or enhancing treasury management systems, supporting regulatory compliance, liquidity and cash management, and managing related risk and transformation efforts. The role requires close collaboration with cross-functional teams, including technology, finance, risk, compliance, and vendors, to ensure timely and quality delivery. Responsibilities Lead full lifecycle delivery of treasury and capital markets projects using Agile (Scrum/Kanban) or Waterfall methodologies. Facilitate all core Scrum ceremonies (Sprint Planning, Stand-ups, Sprint Reviews, Retrospectives) and drive Agile adoption across teams. Define project scope, objectives, and deliverables in collaboration with stakeholders. Develop and maintain project plans, timelines, risk and issue logs, and stakeholder communication plans. Ensure clear and consistent communication with senior management, business stakeholders, technical teams, and third parties. Track project budgets, forecasts, and resources to maintain financial control. Identify and mitigate project risks and dependencies proactively. Oversee change management activities to ensure smooth adoption of solutions. Prepare and deliver regular project updates, dashboards, and reports to executive stakeholders. Foster continuous improvement by identifying inefficiencies and leading process optimization efforts. Coach team members on Agile principles and best practices. Skills Must have Minimum 8+ years of proven experience as a Scrum Master in Capital Market domain. Strong domain knowledge in capital markets and financial services is essential. Demonstrated expertise in treasury operations, including liquidity management, cash management, risk management, and compliance. Practical experience in conducting all Scrum ceremonies and managing Agile teams. Deep understanding of Agile and Waterfall methodologies, with flexibility to adapt to hybrid delivery models. Strong stakeholder management and communication skills, including with executive-level stakeholders. Experience delivering cross-functional projects with complex dependencies. Skilled in project management and collaboration tools (e.g., JIRA, Confluence, MS Project, Trello). Understanding of project financials, including budgeting and forecasting. Certifications such as PMP, CSM, or SAFe are preferred. Excellent written and verbal communication skills. Nice to have Familiarity with treasury systems such as Murex, Calypso, Kyriba, or Wallstreet Suite. Knowledge of capital market products, trade lifecycle, and settlement processes. Awareness of relevant regulations (e.g., Basel III/IV, IFRS, EMIR, MiFID). Exposure to DevOps tools and CI/CD practices. Experience working in global banks or large financial institutions. Knowledge of cloud platforms (AWS, Azure, GCP) and data visualization tools (Power BI, Tableau). Experience working with geographically distributed teams. Understanding of Lean or Six Sigma for process optimization.
Posted 3 weeks ago
7.0 - 12.0 years
15 - 19 Lacs
Bengaluru
Work from Office
Project description We've been engaged by a large Australian financial institution to provide resources to their upcoming Murex Binary Upgrade project. This Bank is considering moving from Current Murex version 42 to latest higher version ( V56 or 58) to include changes Majorly impacting the Collateral / Market Risk / Credit Risk/ Ops and settlement functionalities and modules. There are also some impacts in MX technical areas, Reporting and EODs. We require an experienced Murex FO Consultant as a part of this upgrade project. Responsibilities Contributing to Requirement Analysis in Front Office space for various projects (Upgrade, Regulatory, ..) Contributing to understanding the business needs, identifying business solutions, and validating the pros and cons of technical solution options Interact with Front Office user base and interface between Business and IT with respect to Murex Configure the application as part of the implementation. This can be related to Trade Insertion (etradepad, FDI, ..), Simulations, Curve setup, Product configuration (generators, indices, ...), etc Working with a Testing team to review test cases, coverage, and investigate any issues they encounter Follow up with Murex as and when necessary to resolve bugs, issues. Solution design for Front-Office area Understands P&L and can attribute differences between the two versions Skills Must have 7+ years of Murex Development experience 3+ years of relevant Murex (and/or other Primary Trading System) Front Office experience Good/Export knowledge of at least two asset classes (Risk and Pricing), including IRD, FI, Credit, FXD, FX Cash, and Commodities, of the Murex product suite. Experienced in dealing with Risk, Product Control or Front Office stakeholders in Markets or Treasury divisions Good hands-on knowledge of FO configurationinstruments, generators, curves, market data, market conventions, etc Good understanding of FO modulesSimulation screens, Simulation Viewer, eTradepad, P&L notepad, market operations, etc Good knowledge of how to analyze P&L and sensitivity issues within Murex Knowledge of organization setup and User Groups / Access Rights Nice to have MReport / Datamart, preTrade and postTrade workflows, and interfaces Deeper all-round knowledge of the Murex application
Posted 3 weeks ago
4.0 - 9.0 years
12 - 16 Lacs
Bengaluru
Work from Office
Project description We've been engaged by a large European bank to provide resources to their Markets Program development team working on a wide range of projects like CTB changes, risk and regulatory projects, version upgrades, etc. We require an experienced Java Developer to work within the existing Team. Responsibilities Lead the design, development, and implementation of Murex Connectivity 2.0 solutions. Act as the primary point of contact for all Murex Connectivity 2.0-related queries, providing guidance and support to the team. Collaborate with cross-functional teams to ensure the successful delivery of Murex Connectivity 2.0 solutions, including integration with other systems. Provide technical leadership and mentorship to the team, ensuring adherence to best practices and standards in Murex Connectivity 2.0 development. Stay updated with the latest advancements in Murex Connectivity 2.0 and related technologies, integrating innovative approaches for sustained competitive advantage. Skills Must have 4+ years of experience in Murex Connectivity 2.0. In-depth knowledge of Murex C2 modules and their integration within a financial environment. Experience with Murex Back Office Workflows. Understanding of financial market instruments and trading workflows. Strong understanding of Murex Connectivity 2.0 architecture and related technologies. Experience in designing and implementing Murex Connectivity 2.0 solutions. Experience in leading and mentoring teams in Murex Connectivity 2.0 development. Solid grasp of integration with other systems and related technologies. Nice to have Docker, CI/CD, Jenkins and TeamCity JSON / XML schema understanding
Posted 3 weeks ago
6.0 - 7.0 years
15 - 19 Lacs
Bengaluru
Work from Office
Project description We've been engaged by a large Australian financial institution to provide resources to their upcoming Murex Binary Upgrade project. This Bank is considering moving from the Current Murex version 42 to latest higher version ( V56 or 58) to include changes Majorly impacting the Collateral / Market Risk / Credit Risk/ Ops and settlement functionalities and modules. There are also some impacts in MX technical areas, Reporting and EODs. We require an experienced Murex Senior Credit Risk Consultant as a part of this upgrade project. Responsibilities Functional testing of various modules of Murex (Manual and MxTest) Execution of the entire Trade and Event Lifecycle, test scenarios, and test cases Perform file/Table reconciliation and first level of analysis on test results Identify opportunities for further test automation or efficiencies through automation Working collaboratively with other teams during test preparation and execution activities Proactive investigating and debugging of application defects Producing clear and concise reports during the lifecycle of an automation project Skills Must have Overall, 6 to 7 years of experience in testing. 4 to 5 years of experience in Murex 3.1 functional testing. 2 to 3 years of experience in MX Test. Good Functional knowledge (across products) Experience on Murex Integration testing/ exposure to regression testing. Experience across Market Data Systems and tools is a plus. Good knowledge of Global Markets across multiple asset classes. Design and document manual test cases to include the full test coverage required. Review and quality assure test cases. Configure, execute, and report on test phases/test cycles. Working with the project team and vendor to ensure timely resolution of defects. Ability to work with (or willingness to learn) common technologies surrounding the Murex platformAutosys, Unix, Jenkins, Bitbucket, GIT, JIRA. Experienced in building a test automation suite and repeatable testing processes (desirable). Nice to have Experience working on Murex Binary Upgrade project. Exposure to any of the Automation tools, ORQA, Selenium, etc. NFT preparation and Execution. Stress Testing /Endurance Testing experience. Preparation of Heat Map and Analysis.
Posted 3 weeks ago
5.0 - 10.0 years
18 - 22 Lacs
Mumbai
Work from Office
Project description Our customer is a leading private bank in India that provides front-to-back integrated treasury solution. Bank is embarking upon first ever Murex upgrade (v3.1.38 to v3.1.6x) since implementation. Luxoft has been chosen as the System Integrator partner for this project and will have key roles across all the streams - Front Office, Back Office, Finance, Risk, Integration, Reporting, Test Management, Configuration & Environment management. We are looking for experienced & motivated Murex colleagues to join this exciting program and contribute towards the success of this engagement Responsibilities Deploy and manage Murex Software needed for Murex client's projects using Murex tools and scripts. Environment deployment and Management Operations Perform basic smoke tests before delivering the needed products. Act as a first level support for already deployed Murex products, re-directing, and following the issues with the corresponding support teams Act as first-level support for already deployed Murex products, re-directing, and following the issues with the corresponding support teams Configuration Management Use Murex configuration management tools to import/export configuration items and analyse related issues Apply the configuration management methodologies. Perform database sanitization and purging procedures Skills Must have 5+years of relevant experience in Murex configuration & environment management. Scripting (perl, awk), SQL, Unix XML, RDMS Operation. Involved in project deliverables related to his domain of expertise. Handles project deliverable end-to-end. Should have set up Murex environments from scratch and an expert on Environment Management activities Good overall understanding of Murex architecture and overall Murex functionality Should have exposure to executing Murex Binary Upgrades (2.11 to 3.1 & within 3.1) Exposure to various Murex settings, Parameters and configurations Sets the required organization that ensures it's done according to the specifications agreed with the SL and completed timely. Business requirements analysis & Specifications writing Configuration, testing and validation User assistance Nice to have NA
Posted 3 weeks ago
8.0 - 13.0 years
17 - 22 Lacs
Bengaluru
Work from Office
Project description We've been engaged by a large Australian financial institution to provide resources to their upcoming Murex Binary Upgrade project. This Bank is considering moving from Current Murex version 42 to latest higher version ( V56 or 58) to include changes Majorly impacting the Collateral / Market Risk / Credit Risk/ Ops and settlement functionalities and modules. There are also some impacts in MX technical areas, Reporting and EODs. We require an experienced Murex Senior Credit Risk Consultant as a part of this upgrade project. Responsibilities You will be the Murex Back Office, MxML and Workflows SME who would be responsible for proposing solutions, doing the design & build involving MX.3.1 post trade workflows, BO Configurations & MxML Integration. The role will require a strong financial markets background across a range of asset classes (IRD, Fixed Income, and commodities). The position will work closely with the existing Luxoft delivery team and face off to the business & client technology functions. Skills Must have 8+ years of experience with Murex 3.1 Requirements Gathering & Documentation Murex Knowledge around MLC LTS/LRB Task Configuration, Formula Creation (experience on Implementation and Integration projects)Murex Contract, Deliverable, Event, Murex MxML-Doc, and Swift Confirmation & Payment templates Good knowledge of MxML Exchange workflow and Interfaces. Good knowledge of XML using XSLT, Murex MSL, and MxML format Experience with SQL Strong knowledge of the different post-trade interactions between the various actors of capital markets, including service providers Technical knowledge of SQL, XSL, and JAVA would be advantageous but not a prerequisite Nice to have Experience on Murex CI-CD Murex Knowledge around PFE, Credit Risk Unix scripting Technical knowledge of JAVA would be advantageous but not a prerequisite Domain KnowledgePossess an understanding of financial marketsknowledge on financial instruments such as Interest Rate Derivatives, Credit Derivatives, Currency Derivatives, Swaps, Futures, Options, FRA, etc
Posted 3 weeks ago
2.0 - 7.0 years
13 - 17 Lacs
Mumbai
Work from Office
Project description Our customer is a leading private bank in India that provides front-to-back integrated treasury solution. Bank is embarking upon first ever Murex upgrade (v3.1.38 to v3.1.6x) since implementation. Luxoft has been chosen as the System Integrator partner for this project and will have key roles across all the streams - Front Office, Back Office, Finance, Risk, Integration, Reporting, Test Management, Configuration & Environment management. We are looking for experienced & motivated Murex colleagues to join this exciting program and contribute towards the success of this engagement Responsibilities Functional testing of various modules in Murex Understanding business , technical requirements, design solution and translate them into Test scenario and Test cases Execute full test cyclesscenario execution, test execution, defect logging, and re-testing. Perform file reconciliation (Source vs Target) and first level of analysis Execute test cases during SIT and Support business users during UAT Working collaboratively with other teams during test preparation and execution activities. Manage defect lifecycle using tools like JIRA Producing clear and concise reports during the lifecycle of an automation project Skills Must have 2 to 8 years of working experience in Murex projects. Exposure to FO/BO (Market Risk, Credit Risk, Collateral, Accounting, Interface Workflows, or Hedge Accounting) module would be an added advantage Good understanding of Murex trade, events life cycle & interfaces Strong manual testing skills with full-cycle testing experience in Murex projects. Good domain knowledge of at least one capital market asset class (FXC, FXD, FI, IRD, MM). Nice to have Prior experience on Murex Upgrade projects Exposure to reports development, workflow configuration or EOD Experience in working with Indian Banks
Posted 3 weeks ago
8.0 - 13.0 years
17 - 22 Lacs
Bengaluru
Work from Office
Project description We've been engaged by a large Australian financial institution to provide resources to their upcoming Murex Binary Upgrade project. This Bank is considering moving from Current Murex version 42 to latest higher version ( V56 or 58) to include changes Majorly impacting the Collateral / Market Risk / Credit Risk/ Ops and settlement functionalities and modules. There are also some impacts in MX technical areas, Reporting and EODs. We require an experienced Murex FO Consultant as a part of this upgrade project. Responsibilities Understand the Murex system set up at the client, organization of the support teams, end-of-day procedures, and the report delivery process Analyse the DataMart setup and the table structures for the purpose of identifying redundant objects, minimizing the execution time of batches, and seeking the possibility of reuse of objects Collect and provide detailed technical specifications/business requirement specifications Develop new reports and/or update existing reports based on client requirements. Execute processing scripts and batches manually or through the use of a scheduling tool like Control-M Reconcile report extraction output with the onscreen / report output Analyse differences caused by adding or removing some filter conditions / dynamic table flags/launcher flags Create and maintain a report delivery plan with relevant traceability Skills Must have 8+ years of Murex Development experience Minimum 4 MxML and 2 Years of Murex DataMart experience on Murex 3.1 Expert understanding of Murex DataModel, Dynamic Tables, and Viewers Strong understanding of Murex DataMart best practices and solution design Good exposure to Unix shell scripting on Solaris Experience in applying MX.3 DataMart and SQL optimization techniques Experience in MX.3 DataMart batch creation and scheduling Experience in creating test cases for SIT and UAT Testing Experience in DataMart/EOD solution design and effort estimation with limited support required There will be close interaction with business stakeholders. You would be expected to work largely independently as part of a Luxoft-managed team in an Agile/story point-based environment. Write transformation logic for source data format to Murex understandable format (MxML) Create MxML import and export workflows using MXML Exchange Build a reconciliation process across source and destination Configure Messaging queues for real-time interfacing Document Functional, Technical Specifications, and Test Cases for integration Produce exception reports for failures Configure and build Murex Reports for report-based interfaces Build custom tasks in MxML Exchange for specific processing not available through the standard task library Nice to have Functional understanding of capital markets Experience in other Murex modules
Posted 3 weeks ago
6.0 - 8.0 years
14 - 18 Lacs
Bengaluru
Work from Office
Project description We've been engaged by a large Australian financial institution to provide resources to manage the production support activities along with their existing team in Sydney & India. Responsibilities Demonstrable solid hands-on experience supporting production instance of Murex whilst focusing on ongoing stability and performance of the Murex Platform Constantly contributing to the codebase to improve its supportability and influence the change roadmap to guarantee its long-term sustainability Are confident engineers with a proven track record improving trading systems through permanent remediation and automation Have experience using public cloud services and supporting cloud-hosted applications Pride themselves on their knowledge, which they are sharing with their peers whilst continuously learning more themselves along the way Have solid hands-on experience operating CICD pipelines using common industry tools like GitHub and Jenkins Pride themselves on mentoring and coaching junior team members Skills Must have Overall 6 to 8 Years of support experience Wall Street experience is a must Wall Street experience, along with Murex experience, is an added advantage CI/CD tools (i.e., GitHub Actions, Step Functions, Jenkins) Observability (especially the OpenTelemetry framework) Python DevSecOps experience Nice to have Murex experience, is an added advantage AWSEC2, S3, RDS, CloudWatch AWS CDK library
Posted 3 weeks ago
4.0 - 7.0 years
18 - 22 Lacs
Bengaluru
Work from Office
Project description The role is with our Murex environment management team which is working on a major year-on-year migration program for Tier-1 AU banks to help them hollow out clients' legacy Murex platform into their target markets settlement platform leveraging Murex 3.1. Our project offers a unique opportunity to work across a wide range of niche technologies, like AWS, and DevOps alongside legacy and the latest Murex versions. Responsibilities Manage Mx 3.1 environments and configurations across DEV and QA streams Environment preparation, refresh, rebuild, upkeep, maintenance, and upgrade activities Troubleshooting and resolution of Murex environment-specific issues, including infrastructure-related issues at the OS/DB level Manage enhancements to build / packaging scripts Automation of regular/periodic environment-specific tasks through Jenkins Develop / Enhance scripts using Unix/Perl for requirements across market data sync and related activities Automation of Murex package deployments to sit/UAT environments through a combination of Jenkins and Unix/Perl scripts Create new / Manage enhancements to ControlM jobs Skills Must have Overall 4 to 7 years of experience in Murex Environment Management Murex Environment management on v3.1.x & v2.11 Murex reporting and workflow basics Control-M batch setup and scheduling UNIX shell & Perl scripting Sybase/Oracle SQL scripting Sound knowledge on infrastructure setup (applications, DB & webservers) Strong exposure to Murex Configuration management ideally in a CICD environment (version control, release automation) Advanced UNIX shell scripting (bash) Exposure to Cloud Automation Nice to have Python scripting AWS fundamentals DevOps fundamentals MQ basics
Posted 3 weeks ago
4.0 - 9.0 years
15 - 19 Lacs
Bengaluru
Work from Office
Project description Luxoft has been engaged by a leading UK Financial Services organization to provide Murex implementation services across a varied portfolio of projects. We require an experienced integration developers with strong knowledge of Murex and broad exposure to financial markets to work on a multi-year program. You will be working in a high-performing team of Luxoft and Client staff. Responsibilities Technical Analysis of changes, solution design, development/configuration, and unit testing of MxML Workflows Technical Analysis of changes, solution design, development, and unit testing Participate in fixing production and test defects End-to-end ownership of tasks in cooperation with Business Analysts and Testing team Skills Must have 4+ years of Murex MxML experience Advanced MxML workflow and formulae development Advanced SQL Good general financial market understanding Knowledge of pre-trade framework along with MSL scripting language Unix Nice to have Good Java experience, especially integrating Java code in MxML Pretrade experience DevOps on Murex experience (GIT, Jenkins, JIRA, etc) Technical solution design experience and start-to-end solution ownership.
Posted 3 weeks ago
5.0 - 10.0 years
17 - 22 Lacs
Mumbai
Work from Office
Project description Our customer is a leading private bank in India that provides front-to-back integrated treasury solution. Bank is embarking upon first ever Murex upgrade (v3.1.38 to v3.1.6x) since implementation. Luxoft has been chosen as the System Integrator partner for this project and will have key roles across all the streams - Front Office, Back Office, Finance, Risk, Integration, Reporting, Test Management, Configuration & Environment management. We are looking for experienced & motivated Murex colleagues to join this exciting program and contribute towards the success of this engagement Responsibilities Assist in all changes & releases of Murex application Support the daily service requests/incidents on Non-prod and Prod environments. Be part of a shift based team Detailed documentation for automation activities and manual process Working with automation tools to refine the process Ad hoc operational tasks Skills Must have Minimum 5+ years of experience managing Murex Change and Releases Good understanding on the incident and problem management, Release Management, configuration Management Knowledge on process automation Good understanding of Murex Modules like MLC, Datamart, MxML, End of Day batches configurations Experience with Source Control systems, preferably bitbucket Writing new build scripts and configuration Management experience Experience with documentation services such as Confluence Handling daily incident/service requests raised by service teams for Prod/Non-Prod Experience working with MUREX The candidate should have a minimum relevant 3 years' experience on Murex Change Management Strong understanding of shell/Perl scripting, LINUX, Oracle and SQL. Experience in working with process and release tools Candidate must display strong verbal and written communication skills Nice to have EOD, Environment management
Posted 3 weeks ago
4.0 - 9.0 years
17 - 22 Lacs
Bengaluru
Work from Office
Project description This role is for a Credit Risk Consultant working with a leading bank to implement credit risk functionalities using Murex MLC. The consultant will support technical and functional delivery across modules while working closely with internal teams and vendors. Responsibilities Work as a Credit Risk Consultant on Murex MLC. Configure Risk Settings, Limits, MLC Formulas, Excess Management, and Limits Engine. Write SQL scripts and automate using shell scripting; handle scheduling via Control-M or Autosys. Support testing and deployment activities end-to-end. Liaise with cross-functional teams to implement changes. Provide troubleshooting support and documentation. Skills Must have 4+ years of experience in a similar role. Strong understanding of credit risk exposures and hands-on delivery experience. Familiarity with PFE, xVA, compliance, and collateral practices. Knowledge of IRS, CCS, FX Forward instruments, and pricing. Regulatory exposureBasel II/2.5/III, SA-CCR, SIMM, FRTB-xVA. Experience with Murex (MLC), Markit, Calypso, or similar tools. Good problem-solving and communication skills. Nice to have MLC-specific configuration knowledge (LRB, Limits Engine). Agile environment exposure. Data validation and reconciliation skills.
Posted 3 weeks ago
8.0 - 13.0 years
16 - 20 Lacs
Bengaluru
Work from Office
Project description We've been engaged by a large Australian financial institution to provide resources to their upcoming Murex Binary Upgrade project. This Bank is considering moving from Current Murex version 42 to latest higher version ( V56 or 58) to include changes Majorly impacting the Collateral / Market Risk / Credit Risk/ Ops and settlement functionalities and modules. There are also some impacts in MX technical areas , Reporting and EODs. We require an experienced Murex XVA Functional BA as a part of this upgrade project Responsibilities Co-ordinating model validation activities for credit risk/market risk Has strong analytical and problem-solving skills and excellent communication and interpersonal skills for interacting with business users and the vendor Works closely with Risk & MO users in understanding requirements to build new CR functionality Often works individually in resolving issues, and in coming up with and delivering solutions that meet Risk & MO requirements Analyses and resolves issues related to system configuration, Credit Risk, limits management, interfaces, etc Escalates identified issues / risks in a timely manner to IT and Business managers Provides detailed information about issues to the vendor, and co-ordinates with them in testing fixes / solutions Acts as an intermediary between business and vendor Is able to assist in resolving issues around general system configuration, User Groups, Access Rights, Portfolios, etc Provides training to business users and assists the business in adapting to the Murex environment Ensures documentation and deliverables are consistent with defined standardsHas the ability to work under pressure to resolve critical issues and meet project deliverables PFE configuration expertise Availability of Real-time engine on the FO date of MX. Checking the syncing static data like counterparty, currency , country, portfolio. Skills Must have Overall 5 8 years of working experience Murex Knowledge and 3+ years of experience around PFE/XVA, Credit Risk calculations Murex Knowledge and 3+ years of experience around MLC (Implementation or migration projects) Configuration / optimization experience of latest Murex PFE and XVADesired Skills: Working level knowledge around Unix & SQL Murex Knowledge around P&L, Middle Office, Dynamic Tables, Static Data, GOM, Market Data, Market Operations Nice to have Deeper understanding of financial markets from a non-Risk & MO perspective all-round knowledge of the Murex application Domain knowledge Should possess an understanding of financial markets Basic knowledge on financial instruments such as Interest Rate Derivatives, Credit Derivatives, Currency Derivatives, Swaps, Futures, Options, FRA, etc. MBA (Finance) / Chartered Accountant / CFA / FRM /
Posted 3 weeks ago
5.0 - 10.0 years
15 - 19 Lacs
Bengaluru
Work from Office
Project description We've been engaged by a large Australian financial institution to provide resources against their different BAU change initiatives and ongoing programs. There is large and complex Credit Risk engine implemented in Murex to compute both the PFE and XVA, including real-time XVA analytics. Beyond functional enhancements, a key focus on that asset concerns the recoverability as well as overall performance requiring continual fine tuning. Responsibilities Has strong analytical and problem-solving skills, and excellent communication and interpersonal skills for interacting with business users and the vendor Works closely with Risk & MO users in understanding requirements to build new CR functionality Often works individually in resolving issues, and in coming up with and delivering solutions that meet Risk & MO requirements Analyses and resolves issues related to system configuration, Credit Risk, limits management, interfaces, etc Escalates identified issues/risks in a timely manner to IT and Business managers Provides detailed information about issues to the vendor, and co-ordinates with them in testing fixes/solutions Acts as an intermediary between business and vendor Is able to assist in resolving issues around general system configuration, User Groups, Access Rights, Portfolios, etc Provides training to business users and assists the business in adapting to the Murex environment Ensures documentation and deliverables are consistent with defined standardsHas the ability to work under pressure to resolve critical issues and meet project deliverables PFE/XVA configuration expertise Underlying Murex services and batch jobs optimizations Inbound/Outbound flows from Credit Risk engine maintenance Availability of Real-time engine on the FO date of MX. Checking the syncing static data like counterparty, currency, country, and portfolio. Skills Must have Murex Knowledge and 5+ years of experience around PFE/XVA, Credit Risk calculations in Murex Murex Knowledge and 5+ years of experience around MLC (Implementation or migration projects) Configuration/optimization experience of latest Murex PFE and XVA including Murex services and batch scheduling Deep level knowledge around Unix & SQL Murex Knowledge around MXML workflows, P&L, Middle Office, Dynamic Tables, Static Data, GOM, Market Data, Market Operations Nice to have Deeper understanding of financial markets from a non-Risk & MO perspective all-round knowledge of the Murex application Domain knowledge Should possess an understanding of financial markets Basic knowledge on financial instruments such as Interest Rate Derivatives, Credit Derivatives, Currency Derivatives, Swaps, Futures, Options, FRA, etc.
Posted 3 weeks ago
7.0 - 12.0 years
20 - 25 Lacs
Bengaluru
Work from Office
Project description This role is for a Lead Consultant with a leading European bank, focusing on credit risk and regulatory implementation using Murex (MLC). The consultant will drive the configuration and delivery of credit risk components across multiple teams and project phases. Responsibilities Function as a Risk Consultant specialized in Murex MLC for credit risk implementation projects. Lead design and implementation of modules including Risk Configurations, Limits Management, MLC Formulas, Limits Engine Configuration, Excess Management, and LRB. Apply strong SQL and shell scripting skills and manage tasks using job schedulers like Control-M or Autosys. Work with IT, infrastructure, and external vendors to integrate credit risk functionalities. Participate in complete SDLC activitiesdevelopment, testing, deployment, and support. Act as a liaison between IT and business teams to ensure delivery of fit-for-purpose solutions. Investigate issues proactively and contribute to system enhancements. Skills Must have 7+ years of experience in a similar role. In-depth understanding of credit risk concepts such as exposures, PFE, xVA, compliance, and collateral. 5-8 years of hands-on implementation experience in credit risk platforms. Strong knowledge of financial products and valuation techniques across asset classes (IRS, CCS, FX Forwards). Experience with Basel II/2.5/III, SA-CCR, SIMM, and FRTB-xVA frameworks. Proven expertise in credit risk systems like Murex MLC, Markit, Calypso, or Finastra. Excellent communication skills and ability to present technical issues to non-technical stakeholders. Strong analytical thinking and the ability to work independently. Nice to have Experience specifically with LRB and Limits Engine configuration in Murex. Familiarity with Agile delivery. Understanding of risk data governance.
Posted 3 weeks ago
7.0 - 12.0 years
20 - 25 Lacs
Bengaluru
Work from Office
Project description This role is for a Lead Consultant position with a leading European bank engaged in the implementation of risk and regulatory projects using Murex. The consultant will act as a key interface between IT and business teams, focusing on the delivery of market risk solutions. The project spans across various phases of the software development lifecycle including design, development, testing, and deployment of risk modules. Responsibilities Serve as a Risk Consultant on Murex-based market risk and regulatory implementation projects. Deliver and support functionalities across Scenario Definition, MRE, ERM, Datamart processes, and market data configurations. Develop scripts and tasks using SQL, shell scripting, ANT scripting, and job schedulers like Control-M or Autosys. Collaborate with cross-functional teams, including infrastructure and third-party system consultants, to deliver integrated solutions. Participate in all phases of the project lifecycledesign, build, unit testing, UAT, regression testing, and deployment. Maintain strong stakeholder relationships and manage expectations effectively. Troubleshoot and resolve system issues in coordination with other teams. Skills Must have 7+ years of experience in a similar role. Deep understanding and hands-on implementation experience of Value at Risk (VaR). Strong knowledge of market risk measures, including expected shortfall, stressed VaR, stress testing, and scenario analysis. Functional understanding of financial instruments such as IRS, CCS, and FX Forwards. Familiarity with regulatory frameworksBasel II, 2.5, III, and FRTB. Experience implementing market risk systems, preferably Murex, Calypso, or Finastra. Strong communication skills for effective interaction with business and technical stakeholders. Problem-solving aptitude with ability to debug and explore solutions independently. Nice to have Practical exposure to Murex-specific risk modules and configurations. Hands-on experience with Datamart processes and risk data integration within Murex. Experience working in Agile/iterative project environments. Prior exposure to large-scale transformation or regulatory reporting projects in banking. Knowledge of risk data governance and quality assurance practices.
Posted 3 weeks ago
6.0 - 8.0 years
12 - 16 Lacs
Bengaluru
Work from Office
Project description Datamart Development work across multiple projects with a Leading Asia Pacific Bank. Work as part of the development team with the Bank's Treasury and Markets IT team. Work on multiple projects related to automation and digitization of bank processes and systems that are integrated with the Murex system. Responsibilities Analyze, design, and configure the database for Murex Datamart implementation. Detailed understanding and working knowledge of the configuration of Murex Datamart objects. Ability to carry out configuration for accounting, transaction, compliance, PL, cash flow, etc. reports. SQL language, preferably in a Sybase environment. Should have knowledge of the procedure, function, trigger, index, and tuning Market Data experience including MDRS, MDCS, and RTBS. Unix system commands and shell/Perl script programming. Should have experience in creating technical/functional documents along with requirement analysis/client-facing roles. Skills Must have 6 to 8 years of experience in the Murex Datamart Module Basic understanding of Financial products Knowledge of SQL, Murex Data model Experience in supporting Treasury & Markets Applications is a plus. Working in a very collaborative and agile team, you are expected to work collaborate, negotiate, make trade-offs, and handle conflicts. Strong capability to solve problems, and be an out-of-box thinker who frequently comes up with new ideas SQL language, preferably in the Sybase environment. Should have knowledge of the procedure, function, trigger, index, and tuning Market Data experience Unix system commands and shell/Perl script programming. Should have experience in creating technical/functional documents along with requirement analysis/client-facing roles, including MDRS, MDCS, and RTBS Detailed understanding and working knowledge of the configuration of Murex Datamart objects Nice to have Excellent communication skills
Posted 3 weeks ago
4.0 - 9.0 years
13 - 17 Lacs
Bengaluru
Work from Office
Project description We've been engaged by a large European Bank to provide resources to their Murex program. Joining this program you will have the benefit of working with an established client team, fully involved in the project initiation through to project implementation. Responsibilities You will be working with an established team of Murex Test Analysts both in India and onshore and perform tasks linked to test design/strategy, unit testing, SIT & UAT. The automated testing platform used by the client is MXtest. Daily tasks include Perform a detailed analysis around the products and modules in scope to determine the coverage required Define stream test strategy and approach Configure, execute, and report on test phases/test cycles Configure and automate trade insertion, event insertion, reports and extract reconciliations Work with business analysts, developers, and vendors to resolve defects Review and quality assure test cases Skills Must have 4+ years of Murex Functional testing experience Good exposure to Murex functionality, mainly on FO, BO, and MO. Experience within global markets, good functional understanding Good understanding of FI, IRD type trades is expected Experience in test planning and defining test strategies for small to medium-sized changes. Building test scenarios based on the Client Requirement Strong understanding of and adherence to general test practices. Some experience in Murex-specific test best practices is expected Experienced in working with stakeholders (client team) and able to prioritize work. Should be able to help the junior analyst in his day-to-day work Nice to have Experience in MxTest / Onyx experience would be a plus Experience in other Murex modules like Market Risk, Credit Risk, Accounting, etc.
Posted 3 weeks ago
4.0 - 7.0 years
8 - 11 Lacs
Hyderabad
Work from Office
Detailed job description - Skill Set: Technically strong hands-on Self-driven Good client communication skills Able to work independently and good team player Flexible to work in PST hour(overlap for some hours) Past development experience for Cisco client is preferred.
Posted 3 weeks ago
8.0 - 10.0 years
8 - 12 Lacs
Chennai
Work from Office
Role Purpose The role incumbent is focused on implementation of roadmaps for business process analysis, data analysis, diagnosis of gaps, business requirements & functional definitions, best practices application, meeting facilitation, and contributes to project planning. Consultants are expected to contribute to solution building for the client & practice. The role holder can handle higher scale and complexity compared to a Consultant profile and is more proactive in client interactions. Do Assumes responsibilities as the main client contact leading engagement w/ 10-20% support from Consulting & Client Partners. Develops, assesses, and validates a clients business strategy, including industry and competitive positioning and strategic direction Develops solutions and services to suit clients business strategy Estimates scope and liability for delivery of the end product/solution Seeks opportunities to develop revenue in existing and new areas Leads an engagement and oversees others contributions at a customer end, such that customer expectations are met or exceeded. Drives Proposal creation and presales activities for the engagement; new accounts Contributes towards the development of practice policies, procedures, frameworks etc. Guides less experienced team members in delivering solutions. Leads efforts towards building go-to-market/ off the shelf / point solutions and process smethodologies for reuse Creates reusable IP from managed projects Mandatory Skills: Murex. Experience: 8-10 Years.
Posted 3 weeks ago
3.0 - 6.0 years
2 - 6 Lacs
Coimbatore
Work from Office
Role Associate Process Manager- Collateral | Full-time (FT) | Financial Markets| Shift Timings: EMEA (1:00 PM to 10:00 PM IST) Minimum Academic Qualifications :Graduation (B. ComBBM) Post Graduation (M.Com/MBA/PGDM) Experience Span: 3 to 6 years of experience inCollateral Process/Activities with Experience: Good understanding of Trade Life Cycle and Financial markets Knowledge of Collateral & Margins Knowledge of ISDA Regulations, CSAs, MTM Knowledge of products - OTC, Repo Margins, IM & VM margins Preferably experienced with the applications- Bloomberg, DTCC, Murex, TriOptima Experience in handling Collateral interest bookings and margin calls Experience in handling discrepancies/disputes and liaising with multiple teams to get the issues resolved Should be well versed in preparing procedure documents, process flows, event trackers Should be capable to maintain SLAs and monitor quality of the deliverable Should be able to lead daily/weekly/monthly calls to update clients on day to day progress, challenges Good knowledge of MS Excel Should be able to implement strategic initiatives and identify process improvements in the daily workflow with the help of Automation enhancements Excellent presentation and communication skills (written and verbal) Ability to work with teams across time-zones and cultures Organized, detail oriented, flexible, self-starter & highly motivated Should be able to act fast and decisively when dealing with critical situations Good with numbers and ability to derive information from data Excellent multi-tasking and creative problem solving Should be able to train, coach, mentor other members of the team Financial Products Knowhow: Collateral/Margins, OTC & Repo Margins Tools/industry utilities Preferred hands-on & understanding of Collateral financial markets Reporting/Client Management: We follow a practice of managing reports & matrices within deadlines and with 100% accuracy. Understanding the requirements, data to be used & distribution list on the reports. Reporting the BAU & KRIs to senior management & client. We give utmost priority to our clients and their requirements, adhere to the requirements and follow a strict procedure of reporting Role and Responsibility: As part of the Collateral team, you will be working with our client partners to ensure the counterparty overall exposure risk is reduced, all the interest bookings and margin calls are settled in a timely manner. You work will be to execute the bookings on a monthly basis and margin calls on a daily basis for both OTC and Repo margins, work with internal team, control team and external counterparties to resolve issues and escalation emails. Taking full ownership of the process, managing BAU and other tasks effectively Settling the collateral interest on a monthly basis, and margin calls on a daily basis with 100% accuracy Highlighting the issues and escalations to the client and get it rectified Daily and weekly catch-up calls with clients to discuss the issues and future initiatives Handling client/counterparties queries and escalatio ns Tracking KPI/KRI, Utilization for Vendor Management Grooming As and SAs to manage process and risk effectively Help knowledge management endeavor by sharing process knowledge and best practices within the teams Build domain expertise and lead from the front Lead various quality initiatives Responsible for Business continuity, transformation and various audits
Posted 3 weeks ago
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