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Open nowPosted 28 days ago

Financial Engineer - Murex Risk Management

MyCareersFuture94,028 open roles

Pay
SGD 6,500 – SGD 8,500 a month
Where
Singapore
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Your applicationOpen nowFinancial Engineer - Murex Risk ManagementMyCareersFuture · Singapore
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  2. 3.3%3 days
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  4. 14.0%14 days
  5. 33.7%30 days
This job: posted 28 days ago

The posting

Enterprise Risk Management Consultant

Job Summary

As a Member of the Enterprise Risk Management (ERM) Team, you will support and implement Murex Risk Management Solutions covering credit risk, market risk, and risk control operations. You will manage client relationships, lead implementation projects, and drive product evolution through collaboration with development teams.

Responsibilities

  • Manage production support and enhancement requests by analyzing issues, configuring solutions, validating tests, and deploying updates to Murex Risk Management Solutions
  • Lead daily communication with client IT support desks and risk end-users to resolve issues and provide guidance
  • Coordinate with product and release management teams to schedule client deliveries and updates
  • Collaborate with client managers to develop activity dashboards and prepare risk management presentations
  • Organize and conduct training sessions for end-users and IT teams to ensure effective system use
  • Lead or contribute to implementation projects by configuring, testing, and deploying risk management solutions, and supporting project management activities such as status tracking and documentation
  • Facilitate continuous communication with the Murex development team to relay client feedback and assist in product improvement initiatives
  • Apply solid knowledge of financial risk management and financial computation concepts to support solution implementation and client needs
  • Utilize IT skills including SQL, XML, and Unix scripting to support system configuration and troubleshooting
  • Demonstrate strong client orientation and an action-oriented approach to problem solving
  • Present information clearly and effectively as a strong communicator and collaborative team player

Preferred competencies and qualifications

  • Degree in Computer Science, Engineering, or Master’s in Financial Engineering, Applied Finance, Statistics, Mathematics, or Computational Finance
  • 1 to 3 years of relevant functional or technical experience in client support and implementation of trading or risk management solutions in financial institutions
  • Knowledge of or strong interest in Treasury and Capital Markets
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