Business Analyst Risque de Marché

Murex

Job title:

Business Analyst Risque de Marché

Company:

Murex

Job description

Murex is a global fintech leader in trading, risk management and processing solutions for capital markets.Operating from our 19 offices, 3 000 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 & ContextYou’ll be part of one global team where you can learn fast and stay true to yourself. ​You will join the Market Risk team which is part of the Enterprise Risk Management (ERM) domain. The team is product managing the different areas of the market risk solutions and is in contact with many development and support teams from all Murex offices and also in direct contact with customers.Your missions/What you’ll do ?As a team member within an Agile Release Train, which main mission is to deliver solutions to Murex customers on Market Risk and FRTB regulatory scopes, you will be:

  • Contributing to the execution of the market risk roadmap
  • Representing the client in the team
  • Preparing product specifications to address internal or client requirements
  • Validating complex changes on the market risk regulatory solutions
  • Participating in the corrective and evolutive maintenances
  • Documenting and delivering demos on the new functionalities.

As a product manager of the ERM domain, you will also be:

  • Analyzing client business requirements and following market trends
  • Providing support to internal and external customers during the different phases of the MX.3 platform lifecycle (from presales to solution design to implementation and production)
  • Contributing to the domain activity and business goals.

Your profile/Who you are ?

  • Graduated from a master’s degree (Bac+5), you have a strong interest in the finance/capital markets domain with at least 3 years of experience.
  • An academic degree and a prior experience / training in the Risk management field and/or in an IT or software engineering context is a big plus.
  • You have strong analytical and problem-solving skills.
  • You are at ease working autonomously and as part of a team.
  • You are fluent in English and can efficiently communicate in a multicultural environment.

Expected salary

Location

Paris

Job date

Fri, 20 Sep 2024 22:46:00 GMT

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